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Inquire about how the daily fund net value is calculated.
This is not calculated on a daily basis. After the daily transaction, the general foundation will release the net value of the day.

Net value of fund shares = (total assets-total liabilities)/total number of fund shares

Among them, total assets refer to all assets owned by the fund, including stocks, bonds, bank deposits and other securities; Total liabilities refer to liabilities arising from fund operation and financing, including expenses payable to others and interest payable on funds. The total number of fund shares refers to the total number of fund shares issued at that time.