关于调整中泰锦泉汇金货币市场基金管理费适用费率的公告
Group 1 - The company provides customer service contact information and website details for investors to access fund-related information [1][2] - The fund is a money market fund that manages investor transaction settlement funds, emphasizing that it does not equate to bank deposits [1] - The fund's performance is not guaranteed, and past performance does not predict future results, highlighting the importance of understanding investment risks [1] Group 2 - The company outlines a management fee adjustment plan for the fund, indicating potential changes in cost structure for investors [2] - Additional channels for investors to obtain relevant information are provided, ensuring transparency and accessibility [2]