When will the fund net value be updated on that day?
18 to 6 o'clock the next day. The net value of the fund is usually updated from 18 on the trading day to 6: 00 the next day. According to the fund company's long-term update time, the fund net value is announced at 22: 00 on the same day, and it will definitely be seen the next morning. The net value of the fund shall be announced by the fund company in the afternoon 10 after the end of the fund trading day. However, it should not be overlooked that each fund may announce its net value at different times every day.