Fund income is generally updated the next day, and the fund calculates income according to the rise and fall of net value. Generally, the net value of the fund is updated after the liquidation of the stock. The liquidation takes place from 6 pm to 10 on the trading day, and the income can only be calculated after the net value of the fund comes out, so the fund income can generally be updated the next day.
Fund income is determined by the net value of the fund. Fund net value rises, fund income, fund net value falls, and fund losses.