景顺长城景泰鼎利一年定期开放纯债债券型证券投资基金
Search documents
关于景顺长城景泰鼎利一年定期开放纯债债券型证券投资基金暂停接受个人投资者申购业务的公告
Xin Lang Cai Jing· 2026-02-06 18:56
2、关于恢复本基金上述业务的时间,本公司将另行公告。在上述业务暂停期间,本基金对个人投资者 的赎回业务照常办理。 2.其他需要提示的事项 1、景顺长城基金管理有限公司(以下简称"本公司")决定自2026年2月9日起,暂停接受对景顺长城景 泰鼎利一年定期开放纯债债券型证券投资基金(以下简称"本基金")个人投资者的申购申请。 公告送出日期:2026年2月7日 1.公告基本信息 ■ 3、敬请投资者留意相关公告。如有疑问,请拨打本公司客户服务热线:400-8888-606(免长话费), 或登陆网站www.igwfmc.com获取相关信息。 MACD金叉信号形成,这些股涨势不错! ...
景顺长城基金管理有限公司关于旗下部分基金新增华西证券为销售机构的公告
Shang Hai Zheng Quan Bao· 2026-02-04 19:29
Core Viewpoint - The announcement details a new sales agreement between Invesco Great Wall Fund Management Co., Ltd. and Huaxi Securities Co., Ltd. for the distribution of certain funds starting from February 5, 2026 [1]. Group 1: Applicable Funds - The announcement specifies that certain funds managed by Invesco Great Wall will be available for sale through Huaxi Securities [1]. Group 2: Sales Institution Information - The sales institution is Huaxi Securities Co., Ltd., located in Chengdu, Sichuan, with contact details provided for inquiries [2]. - The legal representative of Huaxi Securities is Yang Jiong Yang, and the contact person is Yang Ru [2]. Group 3: Business Operations - Subscription and redemption services are only available during normal subscription periods and specific open days, with details outlined in the fund's legal documents [3]. - A regular investment plan allows investors to set up automatic deductions for fund purchases, with specific rules governed by Huaxi Securities [3]. Group 4: Fee Structure - Investors may benefit from fee discounts for one-time subscriptions or regular investment plans, subject to the arrangements of Huaxi Securities [4]. - The fund has two classes of shares: Class A, which incurs a subscription fee, and Class C, which does not charge a subscription fee but incurs a service fee [6][7]. Group 5: Redemption Policies - There is no minimum redemption amount, but if a redemption results in a balance of less than one share, the remaining shares must be redeemed [8]. - Redemption fees are applicable and decrease with the holding period of the shares [10]. Group 6: Fund Net Asset Value Disclosure - The fund's net asset value will be disclosed at least weekly during the closed period and no later than the next business day after each open day [11]. Group 7: Additional Information - Investors can access the fund's legal documents, including the fund contract and prospectus, through the company's website or sales institutions for detailed information [12].