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You can see the benefits in a few days after buying the fund.
After buying the fund, you will get the corresponding share. For example, if you buy a fund with a net value of 1 1,000 yuan, it will show that you hold 200 shares, and the subsequent calculation income will be calculated according to the changes in the holding share and net value, and the income will be displayed on the trading day.

How many days can I see the benefits after buying the fund?

It depends on what kind of fund you buy. If you subscribe for the fund, you can only check the holding shares after the fund company announces the end of the closed period. If it is a fund subscription, the holding share information can only be inquired after the delivery confirmation of the fund company.

Usually, people buy funds as subscriptions, and most of them can see the benefits in a day or two. For example, if they buy funds today (Monday), they will confirm their shares tomorrow (Tuesday) and see the benefits the day after tomorrow (Wednesday). If it is bought before 15:00, the share will be confirmed on the next trading day, and the income will be seen in the account of the next trading day. If you bought the fund after 15:00, you need to delay it for one day, because if you bought it after 15:00, the calculation will start the next day. For example, if you buy after Monday 15:00, you will not be able to confirm your share until Wednesday, and you will not see your income until Thursday.

If the subscription is made within the fund trading time, the transaction status is accepted; Purchase during non-fund trading hours, and the trading status is pre-accepted. It is suggested that the fund holding can be inquired after the fund company confirms it (the fund company generally confirms it within T+2 working days). If the trading time is 09: 30- 15: 00 on the trading day of the Fund, the trading day is T; If the trading time is not within the above range, T day is the latest fund trading open day after trading.

It should be noted that when buying a fund, most of the net value we see is the last trading day or valuation, not the final confirmed net value, because the net value of the fund will not be announced until 8 pm.