After 3 pm, the income on the day of selling the fund is still the same. Selling funds after three o'clock in the afternoon is not only the income of the day, but also the income of the next trading day. Funds sold after 3 pm are settled according to the net value of the next trading day, so the rise and fall of the next trading day is also related to investors.
It is suggested that the subscription and redemption time of general open-end funds should be entrusted within the open-end trading time. In case of special funds, it is recommended to consult the fund company for specific operation time.