Investors apply for redemption of funds after trading day 15:00, and the funds will be received in T+2 trading days; The trading days of the Fund are from Monday to Friday at 9: 30am-11:30am, and in the afternoon13: 00pm-15: 00pm, and no trading is allowed on legal holidays. In case of holidays, the arrival time of funds will be postponed to the next trading day.