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How to buy gold, the base of Harvest CSI 500 Index?
1. The fund was publicly sold through the direct sales center and the outlets of the agency from 20 1310.7 to10.3. Investors can choose online cash subscription, offline cash subscription and offline stock subscription. Among them, the online cash subscription date is 201310 to 201310, and the offline cash subscription date is 2013/kloc-0. The subscription date of offline stocks is from 2065438+200365438+1October 28th to 2065438+200365438+310/October, and the fund manager can appropriately shorten or extend the fundraising period of the Fund according to the fundraising situation and make a timely announcement. The fund raising period shall not exceed 3 months.

2. The online cash sales of the Fund shall be handled by a securities company with the qualification of fund agency business and membership of Shenzhen Stock Exchange.

3. The fund manager handles offline cash subscription and offline stock subscription.

4. Offline stock selling institutions are Bohai Securities, Northeast Securities, orient securities, donghai securities, Everbright Securities, Guangzheng, Guodu Securities, Guo Jin Securities, Guotai Junan, Hongyuan Securities, Ping An Securities, Shen Yin Wanguo, New Era Securities, Cinda Securities, Industrial Securities, Galaxy Securities, Great Wall Securities, CIC, CIC Securities, CITIC Securities and jianghai securities.

5. Investors who want to subscribe for the Fund must have at least one A-share account of Shenzhen Stock Exchange (hereinafter referred to as "Shenzhen A-share account") or one securities investment fund account of Shenzhen Stock Exchange (hereinafter referred to as "Shenzhen Securities Investment Fund account"). Investors who purchase shares offline from Shenzhen Stock Exchange shall hold a Shenzhen A-share account; Investors who purchase under the stock network of Shanghai Stock Exchange should hold the A-share account of Shanghai Stock Exchange (hereinafter referred to as "Shanghai A-share account") in addition to the Shenzhen A-share account or the Shenzhen Securities Investment Fund account, and the license numbers and names of the two accounts belong to the same investor. Note that the custodian securities company and trading securities company designated by Shanghai A-share account should be the same selling institution. Special note: If investors need to participate in the subscription and redemption of the Fund through the subscription and redemption agent, they should hold and use the Shenzhen A-share account and the Shanghai A-share account at the same time, and the license numbers and names of the two accounts belong to the same investor. Note that the Shenzhen Stock Exchange custody securities company and the Shanghai A-share account designated trading securities company used by investors for subscription and redemption should be the same subscription and redemption agent.