Current location - Trademark Inquiry Complete Network - Tian Tian Fund - How to calculate the selling fee after the fund is fixed?
How to calculate the selling fee after the fund is fixed?
Fund transactions require a handling fee, and selling fixed investment also requires a selling fee. Usually, the handling fee for fund selling is calculated according to a certain proportion of the selling amount. Then how to calculate the selling fee after the fund is fixed? Let's get to know each other.

How to calculate the selling fee after the fund is fixed?

When the fund is sold, the handling fee is charged according to the principle of "first in, first out", and the fund that is first invested will be redeemed first. If investors only sell a part of the fund when they make a fixed investment, they will charge the handling fee for the first part of the fund. The fund selling fee is determined according to the holding time. Often the longer it is held, the less the fund selling fee will be. Generally, if the fund is sold within 7 days, the rate is the highest.

Suppose investors make four fixed investments in the fund every week, and the amount of each fixed investment is 65,438+0,000 yuan. When they sell 1/4 on a certain day, they will be charged the redemption fee of the fund invested in the first week.

When the fund is redeemed, the redemption rate is determined according to the holding time. Most funds are free of redemption fees after holding for one year. It should be noted that there is no redemption fee for Class C funds, that is, there is no selling fee. However, this kind of foundation has a sales service fee, and the longer it is held, the more it costs.