1. A certain redemption fee will be charged when the fund is redeemed, and the redemption fee will be deducted from the redemption fund, which will lead to the difference between the investor's position and the redemption amount.
2. When the investor redeems the fund after 15:00, the redemption fund shall be calculated according to the net value announced in the evening of the next trading day. When the net value of the fund changes, the position amount and redemption amount will also be different.