Redemption will be made at 9:00- 15:00 on the trading day, and the system will handle it on the same day, and the income will be calculated based on the unit net value of that day. Redemption results can be inquired after the second trading day.
Redemptions beyond 9:00- 15:00 on the trading day will be processed on the next trading day, and the income will be calculated on the unit net value of the next trading day. Redemption results can be inquired after the third trading day.