Because the minimum number of shares sold each time is provided by the fund company, the operation and configuration of the ant fund need to be subject to the page prompts. When the minimum amount is lower than the minimum amount of the fund, it can only be sold at one time, and the minimum amount is provided by the fund company.
Extended data:
Precautions:
There is a difference between buying and selling around 3 pm. Funds are different from stocks. Transactions before 3 o'clock on the trading day are calculated according to the net value after the close of the day. When you buy a fund, the net value you see is the net value of the previous trading day. What is the net value of the fund purchased? Need to close before the fund's net value is updated. That is, when buying a fund, I actually don't know what the price is.
Buying before 3 o'clock on the trading day is calculated according to the net value of the day; For purchases made after 3 o'clock on the trading day, the net value of the next trading day (T+ 1) shall be adopted. The specific information is subject to confirmation after purchasing gold.
Baidu encyclopedia-fund redemption