I. Jingdong Financial Computer Exchange Process
1. Log in to jr.jd.com, the homepage of Jingdong Finance, and select My Finance-already held.
2. After selecting My Financial Management, click on the details of the fund to be sold (redeemed).
3、? Click the redemption button on the fund details page to apply for redemption;
4. Enter the financial redemption application page, fill in the redemption share, and click the redemption application to enter the financial redemption application page (please note that the redemption amount indicated on this page will arrive at the account, and the redemption amount will be transferred to the user's small vault or bank card for payment).
5. The redemption application was submitted successfully.
6. After the fund is redeemed, the fund company needs to confirm the share. The confirmation time is trading day (T)+ redemption date (N), which will be postponed in case of national legal holidays. After the settlement is completed on the fund confirmation date, the redeemed funds will be recharged to the small vault or bank card used for payment at that time.
Second, Jingdong Financial App Exchange Process
1. Log on to the homepage of Jingdong Financial App and select a fund.
2. Click on the details of the fund to be redeemed after holding it?
3. Click on the redemption, add the redemption share, and submit the redemption application.
4. The redemption application was submitted successfully.
5. After the fund is redeemed, the fund company needs to confirm the share. The confirmation time is trading day (T)+ redemption date (N), which will be postponed in case of national legal holidays. After the settlement is completed on the fund confirmation date, the redeemed funds will be recharged to the small vault or bank card used for payment at that time.