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Fund redemption is based on the net value of the day. What about Saturday and Sunday?
Fund redemption is calculated according to the net value on the reporting day.

Funds can only be redeemed on trading days, so there is no such thing as Saturday and Sunday.

In addition, fund redemption is generally declared on the same day, indicating that it has not been declared; The second day shows that it has been reported; Between the third day and the eleventh day, the funds returned to the account. Among them, the money fund arrived on the third day, the stock fund arrived before the fifth day, and the QDII fund arrived on the eleventh day. The above days refer to trading days, which will be postponed in case of holidays.