The effective date of the fund contract is September 6th, 211, and the redemption will be started within 3 months after the effective date of the fund contract. After determining the specific time for opening the redemption business, the fund manager will announce it on at least one information disclosure media designated by China Securities Regulatory Commission at the latest 2 working days before the opening date. It is estimated that it will be in December, at the latest on December 6th. Pay attention to the announcement.