After successful subscription, you will generally find your subscribed fund share on the second trading day. The so-called trading day is the day when you apply. The working days of fund companies and exchanges are synchronized. Closed from Saturday to July, 9: 30am-3: 00pm on Saturday working day 1-5. Because online direct selling is a 7*24-hour all-weather transaction, there is the concept of "trading day", which is "T". Normal trading day, before 3 o'clock, the next day after 3 o'clock. From 3: 00 p.m. on Friday to 3: 00 p.m. on Monday, a trading day is counted as one week 1.
First, you need to log in to your fund company account, and then you can see the fund share, daily unit net value, daily book assets and other information in it. Some companies can see it on the initial page of the account, while Huaxia Fund is more troublesome. You must find "fund share inquiry" in its account inquiry to see it.