The fund is held for 30 days, including weekends. The holding time of the Fund starts from the first day when the subscription share of the Fund is confirmed, and the day before the redemption confirmation date is the last day, and all intermediate dates are counted, including weekends and legal holidays.
For example, an investor buys a new fund before 3: 00 on July 12, and the share confirmed on July 13 is regarded as one day. After 30 days, it will be held for 30 days on August 12, including weekends.