Current location - Trademark Inquiry Complete Network - Tian Tian Fund - Is the valuation of the fund net value accurate on that day?
Is the valuation of the fund net value accurate on that day?
The valuation of the fund's net value on that day is for reference only and is not completely accurate.

The net value of the fund on that day was settled at the closing price and announced around 8 pm. Intra-day net value estimation is based on the latest historical position ratio of the fund. Unless the fund manager's position ratio has not changed, the estimated net value is deviated from the actual value.