1, Huatai Zijin 1 Priority of Collective Asset Management Plan September (Phase III) Product 94 1020: It cannot be redeemed in advance, and it will be redeemed automatically on the due date.
Details are as follows:
The value date is 2065438+September 4th, 2004, the maturity date is 2065438+June, 2005 1 (non-redeemable share of principal during the operation period), and the operation period is 27 1 day (interest is still accrued on the maturity date).
Automatic redemption on the maturity date of the current investment cycle, and it is expected that the funds will be returned to the customer account on T+2.
2. Huatai Zijin No.65438 +0 collective asset management plan priority (10) product 94 1028: it cannot be redeemed in advance, and it will be redeemed automatically on the maturity date.
Details are as follows:
The value date is 2014165438+10.20, and the maturity date is 2015165438+10.7 (operation)
Automatic redemption on the maturity date of the current investment cycle, and it is expected that the funds will be returned to the customer account on T+2.
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