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Net value of Chinese business fund
Open-end fund net value: generally announced around 9 pm on the trading day;

Net value of closed-end funds: Generally, it is published once a week, and the net value of funds is published every Friday. You can see it around 9 pm on Friday at the earliest.

FOF Fund: T+3 announces the net value of the fund. For example, the net value on Monday is expected to be seen around 9 pm on Wednesday.