
Core Viewpoint - The announcement details the partnership between Guolianan Fund Management Co., Ltd. and Postal Savings Bank of China, allowing certain funds to be sold through the "You Ni Tong Ying" platform starting April 3, 2025 [1]. Business Scope - Investors can conduct subscription, redemption, and conversion of the following funds through the "You Ni Tong Ying" platform: - Guolianan Hengrun 3-Month Regular Open Pure Bond Fund (Code: 018265) - Guolianan Hengyue 90-Day Holding Bond Fund (Code: C Class 013673) - Guolianan Desheng Dividend Mixed Fund (Code: 257040) - Guolianan CSI 300 ETF Linked Fund (Codes: A Class 008390, C Class 008391) - Guolianan Value Selection Mixed Fund (Code: 019430) - Guolianan SSE STAR 50 ETF Linked Fund (Codes: A Class 013893, C Class 013894) - Guolianan Shuangyue Enjoy 60-Day Holding Pure Bond Fund (Codes: A Class 020395, C Class 020396) - Guolianan Desheng Steady Fund (Codes: A Class 255010, C Class 021479) - Guolianan Xinhui Mixed Fund (Codes: A Class 004129, C Class 004130) - Guolianan Xinlong Mixed Fund (Codes: A Class 004083, C Class 004084) - Guolianan Xinyuan 1-Month Holding Mixed Fund (Codes: A Class 010931, C Class 010932) - Guolianan Monthly Enjoy 30-Day Holding Pure Bond Fund (Codes: A Class 019962, C Class 019963) - Guolianan Zhongzhai 0-3 Year Policy Financial Bond Index Fund (Codes: A Class 021229, C Class 021230) - Guolianan CSI All-Index Semiconductor Products and Equipment ETF Linked Fund (Codes: A Class 007300, C Class 007301) [1]. Conversion Business Rules - Fund conversion allows holders to convert part or all of their holdings in one fund to another fund managed by the same fund manager [5]. - The conversion fee is zero, and the calculation of the conversion fee includes the redemption fee and the subscription fee difference between the funds [2][3]. - The conversion process requires that the fund being converted out is redeemable and the fund being converted into is available for subscription [5][6]. Additional Information - The fund conversion will be processed based on the net asset value on the day of application, with confirmations typically occurring on T+1 day [6]. - Each conversion request must be for at least 100 fund shares, and there are no minimum subscription limits for the incoming fund [6][7]. - The announcement specifies that the rules may be adjusted by the fund manager as necessary [7].