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What funds were issued on May 8th? Where can I find them?
● Fund issuance: the stock securities investment funds managed by Penghua are of high quality.

Abbreviation: Penghua Governance, code: 1 6061,type: listed open-end fund, investment type: growth type, duration (year): indefinite, manager: Penghua Fund Management Co., Ltd., custodian: China Industrial and Commercial Bank, par value:/kloc-0. Deadline for issuance: May 28th, 2007. Direct selling agency: Penghua Fund Management Co., Ltd. and consignment agency: China Industrial and Commercial Bank, China Construction Bank, Bank of Communications, China Merchants Bank, Shenzhen Development Bank, Shenzhen Commercial Bank, Guosen Securities, Guotai Junan Securities, china galaxy Securities, Guangfa Securities, China Merchants Securities, CITIC Securities, CITIC Jiantou Securities, Huatai Securities, United Securities and CITIC Jiantou Securities. Donghai securities, Industrial Securities, Great Wall Securities, citic wantong Securities, CITIC Jintong Securities, Shanghai Securities, Everbright Securities, Hongyuan Securities, soochow securities, Caitong Securities Brokers, Haitong Securities, subscription rates: subscription amount (including subscription fee) m < 1.5%, 1 10,000 ≤ m < 50. Redemption rate: 0.5% for off-site redemption within 1 year (excluding 1 year) and 0 for 1 year to 2 years (excluding 2 years); The on-site redemption rate is 0.5% of the fixed redemption rate, and the redemption rate is not set according to the holding time of shares. Subscription rate: during the centralized subscription period, the subscription amount (including subscription fee) is m < 1 10,000, 1.20%, 65438 ≤ 00,000 ≤ m < 5 million, 1.00%, and 5 million ≤ m