Workflow
长江乐鑫纯债定期开放债券型发起式证券投资基金
icon
Search documents
长江证券(上海)资产管理有限公司关于长江乐鑫纯债定期开放债券型发起式证券投资基金第二十七个开放期开放申购与赎回业务的公告
Group 1 - The fund "Changjiang Lexin Pure Bond Regular Open-End Fund" will have its 27th open period from February 24, 2026, to March 9, 2026, during which investors can apply for subscription and redemption [1][2] - The fund operates on a regular open-end basis, with a closed period of three months between open periods, and will enter its 28th closed period starting March 10, 2026 [1][2] - The minimum subscription amount for the fund is set at RMB 10 for the first subscription and RMB 1 for additional subscriptions through sales institutions, while the minimum for direct sales is RMB 1 [4][5] Group 2 - The fund's subscription fee is structured to decrease as the subscription amount increases, and it is charged on a front-end basis [6] - Investors must submit their subscription applications during the specified business hours on open days, and the confirmation of successful subscriptions will occur on the next business day [7][10] - The fund allows a minimum redemption of 10 fund shares per transaction, and if the balance falls below this threshold, the sales institution may process a full redemption [8][9] Group 3 - The fund management company is responsible for disclosing the fund's net asset value at least weekly during the closed period and daily during the open period [12] - Investors are encouraged to refer to the fund's prospectus and other legal documents for detailed information regarding the fund's operations and regulations [14] - The fund allows a single investor to hold more than 50% of the fund shares and is not available for individual investors [15]
长江证券(上海)资产管理有限公司关于长江乐鑫纯债定期开放债券型发起式证券投资基金第二十四个开放期开放申购与赎回业务的公告
1.公告基本信息 ■ 注:1、长江乐鑫纯债定期开放债券型发起式证券投资基金以下简称"本基金"; 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04月23日 2、本基金的第二十四个开放期为2025年4月25日(含该日)至2025年5月6日(含该日)。在开放期内, 投资者可以办理基金份额的申购、赎回业务。自2025年5月7日起,本基金进入第二十五个封闭期。在封 闭期内,本基金不办理申购、赎回业务。敬请投资者关注。 2.日常申购、赎回业务的办理时间 本基金以定期开放方式运作,即采取在封闭期内封闭运作、封闭期与封闭期之间定期开放的运作方式。 本基金以三个月为一个封闭期,在封闭期内,本基金不接受基金份额的申购和赎回。本基金的封闭期为 自基金合同生效日(包括基金合同生效日)或每个开放期结束之日次日起(包括该日)至三个月后的对 日的前一日止。如该对日不存在,则对日调整至该对应月度的最后一个工作日;如该对日为非工作日, 则顺延至下一工作日。 开放期为本基金开放申购、赎回等业务的期间。本基金自每个封闭期结束之日的下一个工作日起进入开 放期。本基金的每个开放期不少于5个工作日、不超过20个工作日,开放 ...