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When to check the fund belongs to the previous trading day?

17:。 The fund net value of the day is released by the fund company from 17: to 21: , so the net value seen by investors during the day is the previous trading day. To see the net value of the day, you can only see it after the fund company releases the net value of the day in the evening. You can check it on the website of the fund company official website or a third-party fund.