The holding period of on-site funds is calculated on the day of fund transaction. For example, if an investor buys a fund on March 1 day and sells the fund on March 30, then the investor holds the fund for 29 days and sells the fund on March 30, which is not counted as the holding period. It should be noted that the on-site fund handling fee is not calculated according to the holding days.
On-site funds refer to funds traded on the stock exchange. The fund trades according to the real-time market price, and the fund follows the principle of price priority and time priority.