Cross-system custody transfer of open-end funds needs to be handled in the original fund purchasing institution (transferor). When applying for cross-system transfer custody of open-end funds, we should ensure that the transfer-out account filled in the transfer-out application has established the corresponding relationship between the off-site account and the transfer-in account.
Tips: On the T day, the fund will be transferred from different places, different places and different places. T+2 days, you can view the transferee's share; You can view the transferee's share of T+ 1 day on t day.