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Does the fund fall the day after it is sold?
1. Selling funds whose operation time is before 3: 00 pm on the same day will not calculate the falling value of the next day;

2. Funds sold after 3: 00 pm on the same day will be counted as falling prices the next day.

This is the second day after the fund is sold, whether the falling value of the fund is calculated in the investor's fund selling income.

Open-end fund redemption rules

The redemption rules of open-end funds are different from the trading rules of fund subscription, and the "T+2" trading system is implemented, that is, after investors redeem funds, they generally need to wait "T+2" working days to determine the success of redemption and obtain investment fund income. Investors can insert the entrustment declaration into the trading system. Generally, on the second working day after redeeming the entrustment, the declaration status will show submitted, and on the third working day after applying for redemption, it will show completed. On behalf of the current investors, the redemption application has been successful, but the fund income cannot be obtained immediately. The fund system needs to be liquidated to truly obtain the redemption fund income, that is, the whole process takes about 4 days.

The best time to buy and sell funds

The best time to buy and sell funds is 14: 30- 15: 00 on the fund trading day. According to the real-time valuation of the fund, we can see whether the fund is in a rising or falling state, and the real-time valuation can be viewed on platforms such as Alipay, Straight Flush and E-wallet. According to the real-time valuation of the fund, it can be judged whether the fund is profitable or losing money at present, which is convenient for the next operation. Fund trading is a kind of circulation and transfer activity with funds as the buying and selling object and at its own risk and income. According to whether fund units can be increased or redeemed, they can be divided into open-end funds and closed-end funds. Open-end funds are not traded on the market (as the case may be), but are purchased and redeemed by banks, brokers and fund companies, and the fund scale is not fixed; Closed-end funds have a fixed duration and are generally listed and traded on the stock exchange. Investors buy and sell fund shares through the secondary market. According to different investment objects, it can be divided into stock funds, bond funds, money market funds and futures funds. Buying, including subscription, subscription, fixed investment, etc. ; Selling includes redemption, liquidation, etc. Fund subscription refers to the behavior that investors open fund accounts in fund management companies or selected fund consignment agencies and apply for purchasing fund shares in accordance with the prescribed procedures.