The second deduction of the fund's fixed investment will be deducted on the first fund trading day next month. That is to say, debit 10 on June 8th. If your account balance is insufficient, the account with sufficient balance will be debited at 6:00 am on the 9th, and the account will be scanned at 15:00 pm, and the funds deposited on that day will be debited until the deduction is successful.