According to the relevant fund sales service agreement signed by Tianhong Fund Management Co., Ltd. (hereinafter referred to as the “Company”) and Hengtai Securities Co., Ltd. (hereinafter referred to as “Hengtai Securities”), the company will be effective from February 25, 2020. Hengtai Securities was added as a sales agency for Tianhong Internet's flexible allocation of hybrid securities investment funds (hereinafter referred to as "the Fund") and opened subscription, redemption, regular fixed investment (hereinafter referred to as "fixed investment"), and conversion services. At the same time, the Fund will participate in the discounted rate activities of Hengtai Securities from that date. Details are as follows:
I. Scope of applicable investors
Investors who apply for the fund's purchase, redemption, fixed investment, and conversion business through the designated platform of Hengtai Securities and comply with the fund contract.
Scope of applicable funds
Whether to open subscriptions and redemptions
Whether to open fixed investment
Whether to enable conversion
Tianhong Internet Flexible Configuration of Hybrid Securities Investment Fund
Note: For the specific conversion range, please refer to the information published on the designated platform of Hengtai Securities.
Third, preferential activities
From February 25, 2020, investors who purchase the above-mentioned funds (including fixed investment, conversion and transfer) through the designated platform of Hengtai Securities, enjoy the subscription fee discount. For specific rate discounts and discount period, please refer to Hengtai Securities's The rules prevail. If the original purchase fee is a fixed fee, it will not enjoy the discount and will be executed at a fixed fee.
Please refer to the legal documents such as the Fund Contract and the Prospectus for details of the original subscription fee rate (use) of the Fund, and the latest business announcement issued by the Company.
Fourth, important tips
1. For details of the conversion business rules followed by the Fund, please refer to the "Announcement of the Tianhong Fund Management Co., Ltd. on the Explanation of the Open-ended Fund Conversion Business Rules of the Company" disclosed by the Company on December 15, 2014.
2. Investors who want to know the details of the fund, please read the fund contract, prospectus and other legal documents of the fund carefully.
3. The specific content of the above-mentioned relevant business handling rules shall be subject to the regulations, announcements or notices of Hengtai Securities.
Investors can inquire about the situation through the following channels:
(1) Tianhong Fund Management Co., Ltd.
Customer Service Hotline: 95046
(2) Hengtai Securities Co., Ltd.
Customer Service Hotline: 400-196-6188
Risk reminder: The company promises to manage and use the fund assets on the principle of good faith, diligence and due diligence, but it does not guarantee a certain profit of the fund, nor does it guarantee minimum returns. When investing in funds managed by the company, investors should carefully read legal documents such as fund contracts and prospectus, and pay attention to investment risks.
Tianhong Fund Management Co., Ltd. February 25, 2010