招商上证综合增强策略交易型开放式指数证券投资基金
Search documents
关于开放招商上证综合增强策略交易型开放式指数证券投资基金日常申购 赎回业务的公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-12-30 07:49
登录新浪财经APP 搜索【信披】查看更多考评等级 公告送出日期:2025年12月30日 2、日常申购、赎回业务的办理时间 投资人在开放日办理基金份额的申购和赎回,具体办理时间为上海证券交易所、深圳证券交易所的正常 交易日的交易时间,但基金管理人根据法律法规、中国证监会的要求或基金合同的规定公告暂停申购、 赎回时除外。 基金合同生效后,若出现新的证券/期货交易市场、证券/期货交易所交易时间变更、其他特殊情况或根 据业务需要,基金管理人有权视情况对前述开放日及开放时间进行相应的调整,但应在实施日前依照 《公开募集证券投资基金信息披露管理办法》的有关规定在规定媒介上公告。 3、日常申购业务 3.1申购金额限制 (1)投资人参与本基金的日常申购,需按最小申购、赎回单位的整数倍提交申请。本基金目前最小申 购、赎回单位为300万份。基金管理人可根据基金运作情况、市场情况和投资者需求等因素,在法律法 规允许的情况下,调整最小申购、赎回单位。 (2)基金管理人可以规定投资人相关账户的最低基金份额余额,具体规定请参见相关公告。 (3)基金管理人可以规定本基金当日申购份额上限,具体规定详见相关公告。 4.1赎回份额限制 (1)投 ...
招商上证综合增强策略交易型开放式指数证券投资基金基金份额发售公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-11-29 00:03
Fund Overview - The fund is named "招商上证综合增强策略交易型开放式指数证券投资基金" (referred to as "招商上证综合增强策略 ETF") and is a stock-type open-ended index fund [36] - The fund aims to control the average tracking deviation of its net asset value growth rate from the performance benchmark to not exceed 0.35% daily and 6.5% annually, while seeking to outperform the benchmark index [37] Fund Issuance Details - The fund will be available for subscription from December 10, 2025, to December 19, 2025, with options for online cash subscription and offline cash subscription [5][38] - The minimum subscription amount for online cash subscription is 1,000 shares or multiples thereof, with a maximum of 99,999,000 shares [2] - The fund's subscription price is set at RMB 1.00 per share [37] Subscription Process - Investors must have a securities account to subscribe to the fund, specifically a Shanghai Stock Exchange A-share account or a securities investment fund account [44] - For online cash subscriptions, investors can submit multiple subscription applications during the subscription period, and funds will be frozen upon confirmation of the application [2][50] - Offline cash subscriptions require investors to submit various documents, including identification and proof of funds, to the fund management company [51] Fund Management and Custody - The fund is managed by 招商基金管理有限公司 (招商 Fund Management Co., Ltd.) and is custodied by 中国工商银行股份有限公司 (Industrial and Commercial Bank of China) [36][62] - The fund's registration and settlement will be handled by 中国证券登记结算有限责任公司 (China Securities Depository and Clearing Corporation Limited) [65] Investor Information - The fund is open to individual investors, institutional investors, qualified foreign investors, and other investors permitted by law [36] - Investors are encouraged to read the fund's contract and prospectus available on the fund management company's website and the China Securities Regulatory Commission's electronic disclosure website [3]