汇添富上证科创板50成份交易型开放式指数证券投资基金发起式联接基金

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汇添富上证科创板50成份交易型开放式指数证券投资基金发起式联接基金 基金份额发售公告
Zhong Guo Zheng Quan Bao - Zhong Zheng Wang· 2025-07-25 00:30
Fund Overview - The fund is named "Huitianfu Shanghai Stock Exchange Science and Technology Innovation Board 50 Component Index Securities Investment Fund Initiated Link Fund" with A and C class codes 024980 and 024981 respectively [12] - It is an ETF link fund, operating as a contractual open-end and initiated fund [12] - The fund has an indefinite duration and will be sold at an initial price of 1.00 RMB per share [12] Fund Management and Custody - The fund is managed by Huitianfu Fund Management Co., Ltd., with CITIC Securities Co., Ltd. serving as the custodian [1] Fund Subscription Details - The subscription period is from July 28, 2025, to August 8, 2025 [14] - The minimum subscription amount through the direct sales center is 50,000 RMB, while online subscriptions can start from 1 RMB [3] - There is no upper limit on the subscription amount per individual account during the fundraising period [3] Subscription Process - Investors can apply for account opening and subscription simultaneously, but if the account opening is invalid, the subscription will also be invalid [5] - Subscription applications are accepted during the fundraising period, and the confirmation of successful applications is subject to the fund registration institution's results [4][18] Fund Investment and Risk - The fund aims to closely track the target ETF and has similar risk-return characteristics [8] - The fund requires a minimum of 10 million RMB from the initiating investors, who must hold their shares for at least three years [2][8] - If the fund's asset size is below 200 million RMB after three years, the fund contract will automatically terminate [8] Fund Fees - The subscription fee for specific investor groups through the direct sales center is 500 RMB, while other investors will have a decreasing fee rate based on the subscription amount [20][21] - Class C shares do not incur subscription fees [22] Fund Verification and Registration - The fund will undergo verification by a qualified accounting firm after the fundraising period, and if it meets the legal registration conditions, the fund contract will take effect [15][39]