博时富丰纯债3个月定期开放债券型发起式证券投资基金
Search documents
博时富丰纯债3个月定期开放债券型 发起式证券投资基金开放申购、 赎回业务的公告
Sou Hu Cai Jing· 2026-01-11 23:26
Group 1 - The fund will have an open period for subscription and redemption from January 14 to January 27, 2026, lasting for 10 working days [3][4][16] - The fund's current closed period is from October 14, 2025, to January 13, 2026 [4] - The fund management has the right to extend the open period but cannot exceed 10 working days [4][16] Group 2 - The minimum initial subscription amount for investors is 10.00 yuan, and the same applies for additional purchases [6] - The subscription fee is calculated separately for each application and is primarily used for marketing and sales expenses [6][7] - The fund management can adjust the subscription amount limits and fees, with prior announcement [7] Group 3 - Each trading account must maintain a minimum balance of 10 fund shares; if a redemption causes the balance to fall below this, the remaining shares must also be redeemed [8] - Redemption fees will be charged based on the holding period, with full fees for redemptions within 7 days of purchase [9][11] - The fund management can adjust redemption limits and fees as per regulations [11] Group 4 - The fund management company is responsible for disclosing the net asset value at least weekly during the closed period and daily during the open period [14][15] - The fund will announce any changes to the open days and times based on market conditions or regulatory requirements [3][4] Group 5 - The fund management company will hold a communication-based meeting for fund shareholders to vote on specific proposals, with voting from January 14 to February 24, 2026 [25][26] - The meeting will require a minimum of 50% of the fund's total shares to be represented for valid voting [44] - The results of the meeting will be announced after the counting process, which will be supervised by a notary [42][46]