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According to the fund sales agency agreement signed between Baijia Fund Management Co., Ltd. (hereinafter referred to as "the Company") and Pan China Puyi Fund Sales Co., Ltd., the Company will increase its sales agency as Baijia Baichuan 30 day holding period pure bond securities investment fund (Class A fund code: 019056; Class C fund code: 019057) from April 19, 2024. Investors can consult relevant details through the following channels: 1. Pan China Puyi Fund Sales Co., Ltd Registered address: Room 1101, Gaodi Center, No. 9 Jianshe Road, Chenghua District, Chengdu Office address: Floor 12, Block B, Longhu Xichen International, Jinniu District, Chengdu Legal representative: Wang Jianhua Customer service hotline: 400-080-3388 Website: www.puyifund.com 2. Baijia Fund Management Co., Ltd Customer service telephone: 400-825-8838 Website: www.baijiafunds.com.cn Risk tip: The fund manager promises to manage and use the fund assets in the principle of honesty, credit, diligence and responsibility, but does not guarantee that the fund will be profitable or the minimum return. The sales agency classifies the investor category, risk tolerance and risk level of the fund according to the regulatory requirements, and puts forward appropriate matching opinions. Investors should carefully read the fund contract, prospectus (update), fund product information summary (update) and other fund legal documents before investing in the fund, fully understand the risk return characteristics of the fund product, and on the basis of understanding the product situation and the appropriateness opinions of the sales agency, according to their own risk tolerance, investment period and investment objectives, Make independent decisions on fund investment and select appropriate fund products. The Fund Manager reminds investors of the principle of "buyer's responsibility" for fund investment. After investors make investment decisions, investors are responsible for the investment risks caused by changes in the operation status of the fund and the net value of the fund. It is hereby announced. Baijia Fund Management Co., Ltd April 19, 2024
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