(1) underwriting securities.
(2) Providing loans or guarantees to others;
(three) engaged in unlimited liability investment;
(4) buying and selling other fund shares, except as otherwise provided by the State Council.
(5) making capital contributions to fund managers and fund custodians or buying or selling stocks or bonds issued by fund managers and fund custodians. (6) buying and selling securities issued by shareholders who have control relations with their fund managers and fund custodians, or companies that have other significant interests with their fund managers and fund custodians, or securities underwritten during the underwriting period;
(seven) engaged in insider trading, manipulation of securities trading prices and other improper securities trading activities.
(8) Other activities prohibited by the the State Council Securities Regulatory Authority in accordance with the relevant provisions of laws and administrative regulations.