费率优惠

Search documents
南华基金管理有限公司关于南华瑞泽债券型证券投资基金新增广发证券股份有限公司为销售机构并参加其费率优惠的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-09-11 01:11
Group 1 - The core point of the article is the agreement between Nanhua Fund Management Co., Ltd. and GF Securities Co., Ltd. to start selling the Nanhua Ruize Bond Fund from September 11, 2025, allowing investors to subscribe, redeem, convert, and invest regularly through GF Securities [1][2]. - The fee discount activity for the fund will be effective from September 11, 2025, with the end date to be determined by GF Securities' announcements [2]. - Investors can engage in subscription and redemption only during normal periods and specific open days, with detailed rules available in the fund's legal documents and announcements [3]. Group 2 - Investors can set a fixed investment amount for regular investment (定投) through GF Securities, with specific rules outlined by GF Securities [3]. - For inquiries or further information, investors can contact GF Securities at 95575 or visit their website, and Nanhua Fund Management at 400-810-5599 or their website [4].
金元顺安基金管理有限公司旗下部分基金增加 兴业证券股份有限公司为销售机构并参与费率优惠的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-09-07 23:36
Group 1 - The company has signed a sales service agreement with Industrial Securities Co., Ltd. to sell certain funds starting from September 5, 2025 [1] - Investors will be able to perform various transactions such as account opening, subscription, purchase, redemption, regular investment, and fund conversion through Industrial Securities from the specified date [1] - All future open-end funds issued by the company will also be applicable to the aforementioned services without further announcements [1] Group 2 - The company has agreed to offer fee discounts for its funds sold through Industrial Securities, with specific discount rates and procedures to be published on Industrial Securities' website [2] - Any new fund products or changes to existing fund share categories sold through Industrial Securities will also be eligible for the fee discount starting from the date of their subscription opening [2] Group 3 - The regular investment business allows investors to set up automatic deductions for fund purchases based on agreed schedules and amounts [3]
关于泰康基金管理有限公司旗下部分开放式基金新增宁波银行股份有限公司为销售机构并参加其费率优惠活动的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-08-21 01:40
Group 1 - The core point of the announcement is that Taikang Fund Management Co., Ltd. has signed a fund sales agreement with Ningbo Bank, allowing certain open-end funds to be sold through Ningbo Bank's "Interbank Easy Manager" platform starting from August 21, 2025 [1][6]. Group 2 - New fund products will be available for investors to subscribe, redeem, convert, and set up regular investments through Ningbo Bank, with specific procedures governed by the sales institution's regulations [2]. Group 3 - From August 21, 2025, Ningbo Bank will conduct fee discount activities for the funds, allowing investors to enjoy reduced subscription fees when purchasing these funds through the bank, with specific discount rates to be announced by Ningbo Bank [3]. Group 4 - Contact information for inquiries includes Ningbo Bank's customer service at 95574 and Taikang Fund Management's customer service at 400-18-95522, along with their respective websites [4].
达诚基金管理有限公司关于新增国泰海通证券股份有限公司为旗下开放式基金代销机构并参加其费率优惠活动的公告
Shang Hai Zheng Quan Bao· 2025-08-03 19:27
Group 1 - The company has signed a distribution agreement with Guotai Junan Securities, allowing investors to subscribe, redeem, and convert funds starting from August 5, 2025 [1][2]. - The applicable funds for this agreement are subject to the status of being open for subscription, and investors must adhere to the relevant announcements and regulations from the company and sales institutions [1]. - The fee discount activity will commence on August 5, 2025, with no discount limit on subscription fees for the listed funds under the front-end charging model [2][3]. Group 2 - The fee discount is only applicable to the subscription fees of open funds under the front-end charging model and does not include redemption fees or other service charges [3]. - The interpretation rights of the fee discount activity belong to Guotai Junan, and any changes to the specific regulations will be communicated to investors [3]. - Investors are encouraged to read the fund's legal documents, including the fund contract and prospectus, for detailed information about the funds [3]. Group 3 - Contact channels for inquiries include Guotai Junan's customer service phone number and website, as well as the company's customer service phone number and website [4].
华泰保兴基金管理有限公司 关于旗下基金增加交通银行股份有限公司为销售机构 及开通相关业务并参加其费率优惠活动的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-07-27 23:09
Group 1 - The company has signed a fund sales and service agreement with Bank of Communications, allowing the bank to sell its funds starting from July 28, 2025 [1] - Investors will be able to perform various transactions such as account opening, subscription, redemption, regular investment, and conversion through Bank of Communications for the listed funds [1] - Specific fee discounts will be available for investors using Bank of Communications for transactions related to the company's funds, with details subject to the bank's regulations [2] Group 2 - The interpretation rights of the fee discount activities belong to Bank of Communications, and any changes to the specific regulations will be announced by the bank [3] - During the fee discount period, the transaction processes will follow the regulations set by Bank of Communications [4] - Investors are encouraged to read the fund's legal documents, including the fund contract and prospectus, for detailed information about the fund products [4]
海富通基金管理有限公司关于旗下部分基金新增国信证券股份有限公司为销售机构并参加其申购费率优惠活动的公告
Shang Hai Zheng Quan Bao· 2025-07-17 18:13
Core Viewpoint - The announcement details the partnership between Hai Futong Fund Management Co., Ltd. and Guosen Securities Co., Ltd. for the sale of open-end mutual funds, effective from July 22, 2025, including a promotional fee rate activity for investors [1][2]. Group 1: Applicable Funds - The announcement specifies that certain funds managed by Hai Futong will be available for purchase through Guosen Securities starting from July 22, 2025 [1]. Group 2: Business Opening Time - Investors can open accounts, subscribe, and redeem the specified open-end funds at Guosen Securities from July 22, 2025, with procedures subject to Guosen Securities' regulations [2]. Group 3: Fee Rate Promotion - From July 22, 2025, investors who subscribe to the specified open-end funds through Guosen Securities will benefit from a fee rate promotion, with no discount limits on subscription fees, except for fixed fee subscriptions [3][4]. Group 4: Promotion Duration - The duration of the fee rate promotion will be determined by the announcements on Guosen Securities' official website [5]. Group 5: Important Notes - The fee rate promotion applies only to the front-end charging model of the funds during their normal subscription period at Guosen Securities [7]. - The promotion does not cover redemption fees or other service fees related to the funds [7]. - Investors are encouraged to read the fund contracts and prospectuses for detailed information [6]. Group 6: Contact Information - Investors can consult Guosen Securities or Hai Futong Fund Management for further details through their respective websites and customer service numbers [9][10].
关于泰康基金管理有限公司旗下部分开放式基金 新增平安银行股份有限公司为销售机构并参加其费率优惠活动的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-07-10 23:42
Core Viewpoint - The announcement details a partnership between Taikang Fund Management Co., Ltd. and Ping An Bank, effective from July 11, 2025, allowing Ping An Bank to sell certain open-end funds and participate in fee discount activities [1]. Group 1: New Fund Products - Investors will be able to subscribe, redeem, convert, and set up regular investment plans for the mentioned funds through Ping An Bank, with specific procedures governed by the sales institution's regulations [2]. Group 2: Discount Methods - Starting from July 11, 2025, Ping An Bank will offer fee discounts for fund subscriptions (including regular investments) and conversions, subject to relevant legal documents and regulatory requirements. The specific discount rates will be publicly announced by Ping An Bank [3]. Group 3: Consultation Methods - Contact information for Ping An Bank and Taikang Fund Management is provided for investor inquiries, including customer service numbers and websites [4].
英大基金管理有限公司关于旗下部分开放式基金 增加江苏银行股份有限公司为销售机构的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-07-10 23:39
Group 1 - The core point of the announcement is that Yingda Fund Management Co., Ltd. has signed a fund sales agency agreement with Jiangsu Bank, allowing Jiangsu Bank to sell certain funds starting from July 11, 2025, specifically targeting institutional investors [1][2]. - Investors can perform various transactions such as account opening, subscription, redemption, and regular investment plans for the funds offered by Yingda through Jiangsu Bank, along with participating in fee discount activities [1][3]. - The announcement specifies that certain funds, such as Yingda Anxin 66-Month Regular Open Bond and Yingda Tongyou One-Year Regular Open Bond, are currently in a closed period and will not accept subscriptions or transfers [1]. Group 2 - Yingda Fund Management Co., Ltd. provides a customer service phone number (400-890-5288) and a website (www.ydamc.com) for investor inquiries [2]. - Investors engaging in regular investment plans through Jiangsu Bank must adhere to the bank's specific regulations and should understand the differences between regular investment and traditional savings methods [2]. - The fee discount activity allows investors to benefit from reduced fees when subscribing to the listed funds through Jiangsu Bank, with specific discount rates and periods to be announced by the bank [3].
华泰保兴基金管理有限公司 关于旗下基金增加山西证券股份有限公司为销售机构及开通相关业务并参加其费率优惠活动的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-07-09 22:57
Group 1 - The company has signed a fund sales and service agreement with Shanxi Securities, allowing the latter to sell certain funds starting from July 10, 2025 [1] - Investors will be able to perform various transactions such as account opening, subscription, redemption, regular investment, and conversion through Shanxi Securities for the specified funds [1] - Fee discounts will be available for investors using Shanxi Securities for transactions related to the company's funds, with specific rules and duration determined by Shanxi Securities [2] Group 2 - The interpretation rights of the fee discount activities belong to Shanxi Securities, and any changes to the specific regulations should be monitored by investors through Shanxi Securities' announcements [3] - During the fee discount period, the transaction processes will adhere to the regulations set by Shanxi Securities [4] - Investors are encouraged to read the relevant legal documents such as the fund contract and prospectus for detailed information about the fund products [4]
海富通基金管理有限公司关于旗下部分基金新增西南证券股份有限公司 为销售机构并参加其申购费率优惠活动的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-07-08 23:15
Core Viewpoint - The announcement details the partnership between Hai Futong Fund Management Co., Ltd. and Southwest Securities Co., Ltd. for the sale of certain open-end mutual funds, effective from July 11, 2025, including a promotional fee rate activity for investors [1][4]. Group 1: Applicable Funds - The announcement specifies that certain open-end funds managed by Hai Futong will be available for purchase through Southwest Securities [1]. Group 2: Business Opening Time - Investors can start opening accounts, subscribing, and redeeming the specified open-end funds at Southwest Securities from July 11, 2025 [2]. Group 3: Applicable Investor Scope - The investment opportunity is available to investors who meet the legal and contractual requirements outlined in the fund agreements [3]. Group 4: Fee Rate Promotion - From July 11, 2025, investors who subscribe to the specified open-end funds through Southwest Securities will benefit from a fee rate promotion, with no discount limits on subscription fees, except for fixed fee subscriptions [4][8]. Group 5: Promotion Duration - The duration of the fee rate promotion will be determined by the announcements on the Southwest Securities official website [6]. Group 6: Important Notes - Investors are advised to read the fund contracts, prospectuses, and related legal documents for detailed information about the funds [7]. - The fee rate promotion applies only to the front-end fee model of the funds during their normal subscription period at Southwest Securities [8]. - The promotion will also apply to any new fund products sold through Southwest Securities during the promotional period [5].