How much is the selling fee of Alipay bond fund?
The selling cost of bond funds depends on the specific fund shares sold by investors and the holding time of funds. Generally, the selling fee system will automatically calculate it, and investors do not need to calculate it manually. Generally speaking, the longer the fund is held, the lower the handling fee when the fund is sold, and the shorter the fund is held, the higher the handling fee when it is sold.
The fund is sold within 7 days, and the handling fee rate is1.5%; When the fund is sold within 7 days or more and 30 days, the handling fee rate is 0.75%; If the fund is sold for more than 30 days and less than 1 year, the handling fee rate is 0.5%. The specific selling rate rules need to be based on the actual selling rate of the fund. The rate calculation of fund sales fee is also very simple, and its formula is: fund sales fee = corresponding rate of fund sales fund *.
There are many types of bond funds, and the investment risks of different bond types are somewhat different. Pure bond funds with the least investment risk will basically not lose money, but the investment income is also the smallest. Pure debt funds fluctuate very little every day, so when buying funds, it is recommended to choose some pure debt funds with higher annual returns, so that the annual returns will be higher.