关于增加国泰海通证券股份有限公司为东方基金旗下部分基金 销售机构同时开通定投及转换业务的公告

Group 1 - The company has reached an agreement with Guotai Haitong Securities to start selling certain funds under its management from December 31, 2025, specifically through a front-end subscription model [1] - The announcement includes important details regarding fund rates, which can be found in the fund's legal documents such as the "Fund Contract" and "Prospectus" [1] - Regular investment plans will not incur additional handling fees, and the subscription rates for these plans will be the same as the daily subscription rates for the relevant funds [1] Group 2 - Fund conversion allows investors to exchange all or part of their holdings in one open-end fund for shares in another open-end fund managed by the company, with specific rules for front-end and back-end charging models [1] - The operational rules and processes for these services will be determined by the arrangements and regulations of the involved institutions, with any changes communicated through their official platforms [1]

Haitong Securities-关于增加国泰海通证券股份有限公司为东方基金旗下部分基金 销售机构同时开通定投及转换业务的公告 - Reportify