Ordering and Redemption of Investment Units

Ordering and redemption of investment units

Not fixed
8.30 - 15.30 every business day

Redemption of investment units

No scheduled
8:30 to 15:00 pm. Every day.

Refund period

Not more than T+2 business days

Fees

Charged to the Fund (% per annum of NAV) Maximum Fee Actual Fee
Annual Management Fee : Not more than 0.6420 % Actual storage 0.1605 %
Trustee Fee : Not more than 0.0321 % Actual store 0.0268%
Registrar Fee : Not more than 0.1070% Actual store 0.0642 %
Other expenses: actual charge 1.6050%
Charged to investors (% of trading value) Maximum Fee Actual Fee
Sales fee : do not have do not have
Redemption Fee : do not have do not have
Switching fee: do not have do not have
Note:
1. The above fees are VAT included. NAV means the net asset value of the Fund.

Selling Agents

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