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摩根士丹利丰裕63个月定期开放债券型证券投资基金
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基金分红:大摩丰裕63个月开放债券基金1月29日分红
Sou Hu Cai Jing· 2026-01-23 01:49
Core Viewpoint - Morgan Stanley announced the first dividend distribution for the 2026 fiscal year for its "Morgan Stanley Abundant 63-Month Periodic Open Bond Fund" on January 23 [1] Group 1: Dividend Distribution Details - The dividend distribution base date is set for January 1, 2026, with the record date for shareholders being January 27, 2026 [1] - Cash dividends will be distributed on January 29, 2026, and investors opting for reinvestment will base their new shares on the fund's net asset value as of January 27, 2026 [1] - The fund's registration agency will confirm the reinvested shares on January 28, 2026, and investors can check their status starting January 29, 2026 [1] Group 2: Tax and Fees - According to regulations from the Ministry of Finance and the State Administration of Taxation, income from the fund's distribution is exempt from income tax for investors [1] - There are no fees for the dividend distribution, and investors choosing the reinvestment option will not incur subscription fees for the newly converted shares [1]
摩根士丹利基金管理(中国)有限公司关于旗下部分基金增加国泰海通证券股份有限公司为销售机构并参与费率优惠活动的公告
Core Viewpoint - Morgan Stanley Fund Management (China) Co., Ltd. has signed a sales agreement with Guotai Junan Securities Co., Ltd. to include Guotai Junan as a sales institution for certain funds starting from September 22, 2025, offering fee rate discounts for subscription and regular investment activities [1][6]. Applicable Funds - The funds included in this agreement are: 1. Morgan Stanley Pure Bond Stable Growth 18-Month Regular Open Bond Fund A Class (Fund Code: 016745) 2. Morgan Stanley Abundant 63-Month Regular Open Bond Fund (Fund Code: 009816) 3. Morgan Stanley Minfeng Ying and One-Year Holding Period Mixed Fund (Fund Code: 010222) 4. Morgan Stanley Economic Intelligence Selected Mixed Fund (Fund Code: A Class 020231, C Class 020233) 5. Morgan Stanley Stable Abundant Rate Bond Fund (Fund Code: A Class 022786, C Class 022787) [1]. Business Operations - Starting from September 22, 2025, investors can handle account opening, subscription, regular investment, redemption, fund conversion, and other related business through Guotai Junan Securities for the specified funds [1]. Regular Investment Business - The minimum deduction amount and deduction date can be agreed upon with the sales institution, and if the deduction date is not a trading day, it will be postponed to the next trading day [3][4]. Fund Conversion Business - The rules, rates, and important matters regarding the conversion business are detailed in the relevant business announcements issued by the company [5]. Fee Rate Discount Activities - From September 22, 2025, investors who subscribe or invest regularly in the specified funds through the sales institution will enjoy specific discount rates, with the original subscription rates applicable if fixed fees are involved [6][8].