How can I get the maximum amount by subscribing for new shares?
How to calculate the subscription amount of new shares \ x0d \ (1) How to calculate the daily average market value of T-2 in the first 20 trading days (including T-2)? \x0d\ For example, if you subscribe for new shares on June 18, 2065438, the market value will be the average daily market value of 20 trading days from June 16. \x0d\ Example 1: If the market value of 1 day in 20 trading days is 1 ten thousand yuan, the subscription amount is: 1 ten thousand yuan /20 days = 5000 yuan (less than 1 ten thousand yuan, the available amount is 0 shares). \x0d\ Example 2: If the market value of 65438+ ten thousand yuan is held for two days in 20 trading days, the subscription amount is: (65438+ ten thousand yuan +65438+ ten thousand yuan) /20 days = 1000 yuan (available amount is 1000 shares); \x0d\ Example 3: Holding the market value of 20 days for 20 trading days is 65,438+10,000 yuan, and the subscription amount is: (65,438+10,000 yuan+65,438+10,000 yuan) /20 days = 65,438+10,000 yuan (available quota is 65,438) \x0d\ (3) If there is an available credit line in the account on T-day, the actual credit line on T-day is the number in "Purchasable Amount of Today", but the "Arrival Date" shows the date of T-1. If the customer's inquiry account number 65438+ 10 month 15 has subscription limit, the "date of receipt" will display 65438+ 10/4. The "amount that can be purchased on the same day" displayed in the software is "number of shares". (As long as there is an available quota in Shanghai or Shenzhen, the date shows T- 1) \x0d\ (4) The client's Shanghai shareholder account is not specified in Huatai Securities, and the new share quota shows the fund account starting with F. Does the client's fund account show his quota in other brokers? \x0d\ Yes, it is calculated on a consolidated basis. \x0d\ (5) At present, customers can inquire about the purchasable quota through various trading channels. This purchasable quota exchange sends data every day, even when there are no new shares. The data is correct. Calculated by the assets of the customer's recent account, the inaccurate date of subscription of new shares shall prevail. The data we are seeing now is not the quantity that customers can buy on the day of IPO. \x0d\ (6) If the customer does not have the quota for subscription of new shares, the quota will not be displayed in the foreground, nor will it be displayed as 0.