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易方达创业板指数增强型证券投资基金基金份额发售公告
Fund Overview - The fund is named E Fund ChiNext Index Enhanced Securities Investment Fund, with A class fund share code 025164 and C class fund share code 025165 [20] - It is a contract-based open-end, stock-type index fund [20] - The fund's management and registration institution is E Fund Management Co., Ltd., and the custodian is Agricultural Bank of China [20] Fund Raising Details - The fund will be publicly offered from August 18, 2025, to August 29, 2025, with a maximum fundraising limit of 8 billion RMB [5][23] - If the total effective subscription amount exceeds 8 billion RMB, the fund manager will implement a proportionate confirmation method to control the scale [2][5] - The minimum subscription amount for individual investors is 1 RMB through non-direct sales institutions, while it is 50,000 RMB through the direct sales center [4] Fund Share Classes - The fund has two share classes: A class, which charges subscription fees, and C class, which does not charge subscription fees but incurs sales service fees during the holding period [25][28] - Each share class will have its own net asset value calculated and published separately [2] Investment Objectives - The fund aims to achieve investment returns that exceed the performance benchmark while controlling the average tracking deviation and annualized tracking error [21] Subscription Process - Investors can subscribe multiple times during the fundraising period, and there is no upper limit on the total subscription amount for individual investors, provided it does not lead to a single investor holding over 50% of the fund shares [4][5] - Subscription applications must be confirmed by the registration institution, and once confirmed, they cannot be revoked [5][34] Index Composition - The fund's benchmark index is the ChiNext Index, which includes A-shares listed on the Shenzhen Stock Exchange that meet specific criteria [9][10] - The selection process for index constituents involves evaluating market capitalization, trading volume, and compliance with regulatory standards [11][12] Fund Management and Operations - The fund management company may adjust the fundraising arrangements based on various factors [8] - The fund's assets will be verified by a qualified accounting firm after the fundraising period ends [61]