富国恒益3个月持有期混合型基金中基金(ETF-FOF)基金合同生效公告

Group 1 - The fund manager will determine the specific date for subscription based on actual conditions, and the redemption process will start within three months from the effective date of the fund contract [2] - The fund manager will announce the start date for subscription and redemption in accordance with the relevant regulations prior to the opening date [2] - The fund management company emphasizes the principle of honest credit and diligent management of fund assets, but does not guarantee profits or minimum returns [2] Group 2 - The fund contract will officially take effect on November 12, 2025, marking the beginning of the fund manager's management of the fund [1] - Investors can check transaction confirmation through sales institutions or the fund manager's website and customer service [1] - The acceptance of subscription and redemption applications by sales institutions does not guarantee success, and confirmation is subject to the registration agency's results [1]