兴银长乐半年定期开放债券型证券投资基金开放申购、赎回业务的公告

Group 1 - The fund is currently in its twentieth closed period, which will end on December 23, 2025, and will enter an open period from December 24, 2025, to January 22, 2026, during which subscription and redemption services can be processed [1][3] - The minimum subscription amount is set at 1,000 yuan for direct sales and 1 yuan for online platforms, with specific requirements depending on the sales institution [4] - The A-class fund shares will incur a subscription fee, while C-class shares will not charge any subscription fee, with the fees primarily covering marketing and sales expenses [5][6] Group 2 - Redemption requests must be at least 100 shares, and if the remaining balance after redemption is less than 100 shares, the entire amount must be redeemed [9] - The redemption fee for A-class shares is 1.5% if held for less than 7 days, while other cases incur no fee, with the fees being fully allocated to the fund's assets [10] - The fund management can adjust fees or methods within the contract's scope and must announce any changes in advance [11] Group 3 - The fund will disclose its net asset value at least weekly during the closed period and no later than the next day during the open period [19] - Investors are encouraged to read the fund's prospectus and updates for detailed information [20] - The fund was renamed from Hua Fu Chang Le Semi-Annual Open Bond Fund to Xing Yin Chang Le Semi-Annual Open Bond Fund on April 5, 2017 [20]

兴银长乐半年定期开放债券型证券投资基金开放申购、赎回业务的公告 - Reportify