Investors can inquire about the redemption time of one-year closed-end funds in the fund contract. General funds are calculated into the purchase date according to the contract establishment date, and then calculated according to the natural date. After buying a fund, you can look at the fund information near the redemption date, and the details will generally be displayed in the information.
Closed-end funds will generally turn into open-end funds when they expire. During the open day, investors need to redeem it manually, and the system will not redeem it automatically. When redeeming, the system will charge a certain redemption fee according to the holding time.