Why is the daily rise and fall of the fund different from the net value estimation?
The software only roughly estimates the rise and fall of stocks and bonds held by the fund, and cannot accurately calculate other varieties that are not traded in this market; At the same time, the net value of some funds is usually deducted from related expenses. All these will have an impact on the final net value of the day. Therefore, the final published net value shall prevail, and the estimated value can only be used as an intra-day reference.