The income of a gold fund is determined by the investment target. When the investment target rises, the gold fund will rise, and at this time it will gain income. If the investment target falls, the gold fund will fall, and losses will occur at this time.
Trading rules of gold funds: T+ 1 trading is implemented, and trading on trading day (trading time) is calculated according to the net value at the close of trading day (there is only one trading price every day), the share is confirmed on the second trading day, and the income is calculated after the share is confirmed, that is, buying on the trading day and confirming the share on the second trading day. For transactions after 3: 00 pm, the share confirmation time will be postponed for one trading day.