The accumulated net value of the fund = the sum of the net value of the unit and the accumulated dividends since the establishment of the fund, which is a reference value.
For example, the net value of fund shares on a certain day in 2008 was 1.0486 yuan, and the cash dividend distributed in April this year was 0.025 yuan per fund share, so the cumulative net value =1.0486+0.025 =1.0736 yuan.
Front-end charge share and front-end charge available share are your actual fund share! In other words, the number of shares you can redeem.