1. First, when investors redeem a fund, they should usually fill out a redemption application form at the fund sales point.
2. Secondly, the fund manager shall confirm the validity of the transaction within 3 working days from the date of receipt of the redemption application from the fund investor.
And pay the redemption amount within 7 working days.
3. The final subscription and redemption price of open-end funds is based on the net value of each fund. The net value of the fund plus or minus necessary fees constitutes the subscription and redemption price of the open-end fund.
The above is how to redeem Taizhou Bank’s quarterly profit before its opening hours.