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According to the China-Europe Exchange Selected Hybrid Announcement, as of September 24, 2026, the Fund's net asset value was less than 50 million yuan for 58 consecutive working days. If the net asset value of the fund falls below 50 million yuan continuously as of the end of September 29, 2026, the fund assets will be liquidated and terminated as agreed in the fund contract, and there is no need to hold a general meeting of fund share holders. Since September 29, 2026, the Fund will suspend subscription, transfer and regular fixed investment operations, and redemption and transfer operations will be processed normally; if termination is triggered, September 29 will be the last day of operation, and the liquidation process will begin on September 30.

Zhitongcaijing·09/28/2026 09:33:22
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According to the China-Europe Exchange Selected Hybrid Announcement, as of September 24, 2026, the Fund's net asset value was less than 50 million yuan for 58 consecutive working days. If the net asset value of the fund falls below 50 million yuan continuously as of the end of September 29, 2026, the fund assets will be liquidated and terminated as agreed in the fund contract, and there is no need to hold a general meeting of fund share holders. Since September 29, 2026, the Fund will suspend subscription, transfer and regular fixed investment operations, and redemption and transfer operations will be processed normally; if termination is triggered, September 29 will be the last day of operation, and the liquidation process will begin on September 30.