建信旗下部分基金产品
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关于新增兴业证券股份有限公司为建信旗下部分基金产品销售机构的公告
Shang Hai Zheng Quan Bao· 2025-11-30 18:55
登录新浪财经APP 搜索【信披】查看更多考评等级 炒股就看金麒麟分析师研报,权威,专业,及时,全面,助您挖掘潜力主题机会! 根据建信基金管理有限责任公司与兴业证券股份有限公司签署的销售协议,自2025年12月1日起,兴业 证券股份有限公司将销售本公司旗下基金如下: ■ 自2025年12月1日起,投资者可在以上销售机构的营业网点办理上述基金的业务,具体业务的办理请参 照本公司及以上销售机构的相关业务规则和流程。投资者欲了解基金产品的详细情况,请仔细阅读基金 产品的基金合同、招募说明书、基金产品资料概要等法律文件。 投资者通过以上券商办理业务时,请按照各代销网点的具体规定执行。 一、新增销售机构如下: 1.兴业证券股份有限公司 地址:福州市湖东路268号 客服电话:95562 网址:https://www.xyzq.com.cn/ 二、建信基金管理有限责任公司联系方式 客户服务热线:400-81-95533(免长途通话费)、010-66228000 网址:http://www.ccbfund.cn 风险提示:本公司承诺以诚实信用、勤勉尽责的原则管理和运用基金资产,但不保证基金一定盈利,也 不保证最低收益。投资者投 ...
关于新增山西证券股份有限公司 为建信旗下部分基金产品 销售机构的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-10-19 22:39
Group 1 - The announcement states that Shanxi Securities Co., Ltd. will start selling funds managed by CCB Fund Management Co., Ltd. from October 20, 2025 [1][2] - Investors can conduct business related to the funds at the sales outlets of the mentioned institutions, following the relevant business rules and processes [1][4] - CCB Fund Management Co., Ltd. provides contact information for customer service and its website for further inquiries [2][6] Group 2 - The announcement also mentions that from October 20, 2025, China Merchants Securities Co., Ltd. will act as a subscription and redemption agent for certain exchange-traded open-end index funds managed by CCB Fund [4][6] - Similar to the previous announcement, investors can handle fund-related business at the sales outlets of the new institution, adhering to the established rules and processes [4][6] - CCB Fund Management Co., Ltd. reiterates the importance of reading legal documents such as the fund contract and prospectus for detailed information about the funds [1][4] Group 3 - CCB Fund Management Co., Ltd. announces a system maintenance period on October 26, 2025, from 00:00 to 08:00, during which various services will be temporarily unavailable [6] - The maintenance will affect online trading, customer service calls, and real-time account opening services across multiple banks and platforms [6] - The company apologizes for any inconvenience caused during this maintenance period [6] Group 4 - CCB Fund Management Co., Ltd. announces a dividend distribution for the CCB CSI 1000 Index Enhanced Initiation Fund, with the distribution date set for the last working day of the third quarter [8][9] - The fund will distribute at least 10% of the available profit per share, with options for cash dividends or reinvestment [9][10] - Investors must be aware of the eligibility criteria for receiving dividends based on their transaction activities on the record date [10][11]