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Центр кредитования
Единый центр кредитования
Фондовая компания Fidelity Fund Management (China) Co., Ltd. осуществляет публичные фонды через сделки с ценными бумагами и оплату комиссий по ценным бумагам (2025 год)
I. Standards and procedures for selecting a securities firm to participate in securities trading
(A) The company’s selection of a trading broker shall follow the following criteria:
1. Strong financial strength, good reputation;
2. Good financial condition, standardized business practices;
3. Strong compliance and risk control capability, standardized and strict internal management, a sound internal control system, and the ability to meet the highly confidential operating requirements of this fund;
4. Strong trading capability, possession of efficient and secure communication facilities required for trading operations, trading facilities meeting the needs for conducting securities trading with proxy products, and the ability to provide the fund with comprehensive information services;
5. Strong overall research capability.
(B) The company’s procedures for selecting a trading broker:
The company’s research and investment R&D and trading board submits an application to the risk control department for the addition of a trading broker based on the above criteria. The risk control department conducts a credit assessment of the trading broker, and the research and investment R&D and trading board provides a comprehensive evaluation of the service quality of the trading broker. The main evaluation contents include research strength, trading service capability, the status of compliance review of investment instructions, emergency trading capability, etc. The public offering investment decision committee decides on the addition, change, or termination of trading brokers for the funds to be issued and the existing funds based on the trading broker service quality evaluation results and the credit assessment results. The company signs a securities brokerage service agreement with the securities business institution based on the decision results of the public offering investment decision committee.
II. Annual summary and allocation of trading volume and trading commissions
(A) Securities investment and commission payment when renting securities firm trading units
1. Securities investment and commission payment related to stocks
Unit of amount: RMB
Note: During this reporting period, our company has no securities investment and commission payment related to stock trading units rented from securities firms
2. Securities investment commission payment and allocation related to securities investment
Unit of amount: RMB
Note: During this reporting period, our company has no securities investment and commission payment related to stock trading units rented from securities firms
(B) Commission payments for stock investment handled by entrusted securities firms
Unit of amount: RMB
Funds under Fidelity Fund Management (China) Co., Ltd.
Notice Regarding the Publication of the 2025 Annual Report
The board of directors and the directors of this company hereby confirm that the materials contained in the annual report of the fund do not contain any false statements, misleading statements, or material omissions, and shall assume individual and joint liability for the authenticity, accuracy, and completeness of its contents.
Under Fidelity Fund Management (China) Co., Ltd.:
Fidelity 6-Month Holding Period Stock Investment Fund
Fidelity Yuda Pure-Bond Bond Investment Fund
Fidelity 90-Day Holding Period Bond Investment Fund
Fidelity Yuexiang Dividend Selection Hybrid Securities Investment Fund
Fidelity Cib 0-5 Year Policy-Based Financial Bond Index Securities Investment Fund
Fidelity Low-Carbon Growth Hybrid Securities Investment Fund
Fidelity Renyuan Stable Three-Month Holding Period Fund of Funds (FOF)
Fidelity Innovative-Driven Hybrid Securities Investment Fund (initiating type)
Fidelity Hong Kong Stock Connect Select Hybrid Securities Investment Fund (initiating type)
The full text of the 2025 annual reports of the above funds is published on March 31, 2026 on the Company’s website (
This announcement is hereby made.
Fidelity Fund Management (China) Co., Ltd.
March 31, 2026
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