Current location - Trademark Inquiry Complete Network - Tian Tian Fund - What is the historical lowest point of the net value of domestic demand power fund?
What is the historical lowest point of the net value of domestic demand power fund?
The historical low point of the net value of domestic demand power fund is 0.9.

The net fund value generally refers to the net fund unit value, which refers to the current net total assets of the fund divided by the total fund share. The calculation formula is: net fund unit value = net total assets/fund share. The net fund value can be used for the subscription and redemption of open-end funds. The Measures for the Administration of Information Disclosure of Securities Investment Funds have different time requirements for the publication of fund net value according to different types of fund products.

Net fund value is the net asset value of fund shares, referred to as net asset value (NAV), also called the net asset value of each fund share. The calculation formula is: net asset value of fund share = (total assets-total liabilities)/total fund share. Among them, total assets refer to all assets owned by the fund, including stocks, bonds, bank deposits and other securities; Total liabilities refer to liabilities arising from fund operation and financing, including various expenses payable to others, interest payable on funds, etc. The total number of fund shares refers to the total number of fund shares issued at that time. The total share of open-end funds changes every day, so the statistics after the end of the day's transaction shall prevail. After the close of each trading day, the net asset value of the fund on that day is divided by the total number of fund shares at the close of the trading day to get the net asset value of the shares on that day. The net value of share funds is an important indicator to reflect the performance of funds, and the transaction price of open-end funds is determined on the basis of the net value of each fund share. Because the value of assets owned by the fund always changes with the fluctuation of the market, the net value of the fund will also change constantly.