The investment manager is entitled to receive an annual performance fee in respect of each of the funds if the net asset value per share in the relevant fund at the end of any particular financial year is in excess of the target net asset value per share for that share class 业绩表现费:若于某一财政年度结束时有关基金之每股资产净值超过有关股份类别预定之每股资产净值指标,投资管理人即有权就该基金收取优良业绩表现年费。