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Is the fund selling share the same as the amount?
When the fund is sold, two factors are very important, one is the share sold and the other is the amount sold. Many people are selling funds for the first time, so it is silly not to know the share sold and the amount sold.

Is the fund selling share the same as the amount?

No, the selling share refers to the number of fund shares sold, and the selling amount refers to the total value of funds sold. Only when the net value of the fund is equal to 1 yuan, the share is equal to the amount, but the fund selling share is related to the amount. Fund share = amount/unit net value, fund amount = share * unit net value.

For example, if the holder buys 10000 copies of a fund and the unit net value is 1.5, then the fund amount is10000 *1.5 =15000 yuan. The fund selling share refers to a certain share of the principal and income of the redemption investment after the investor submits the selling transaction.

Trading rules of the Fund:

1. The normal trading hours are from 9: 30am to1:30am and1:00pm every Monday to Friday. According to the fund market, all legal public holidays will not be traded normally, which has a very important role and value in maintaining the trading order and trading environment.

2. In the fund market, following the order of price priority and time priority is helpful to maintain the market order and ensure that the market is in a reasonable operation stage. That is, high-priced buying declaration takes precedence over low-priced buying declaration, and low-priced selling declaration takes precedence over high-priced selling declaration. Time is the priority. Specifically, when the investor's buying and selling direction and price are the same, the first applicant has priority over the last applicant.

3. In the fund trading market, the requirements for reporting methods are very strict. Generally speaking, the exchange only accepts reports from members, and non-members cannot report.

4. The opening price determines whether the fund is generated by call auction method or continuous bidding method. If the first transaction price of the fund on that day has an opening price, it will be generated through continuous bidding.

Is the fund selling share the same as the amount? I hope I can help you.