Does the fund sell today's income count?
Funds sold before 3 pm on the trading day are calculated according to the closing price of the day, and funds sold after 3 pm on the trading day are calculated according to the closing price of the second trading day. In the trading market, selling before closing is subject to the closing price, and selling after closing is subject to the closing price. However, it should be noted that the redemption fee for short-term trading of funds is still relatively high, and users cannot make profits too frequently.
The fund implements T+ 1 trading, which is sold on the trading day and received after the share is confirmed on the second trading day. The net value of the fund sold on the same day is calculated according to the net value at the close of the day of sale, and the arrival time is generally 1-3 trading days. If you are in a bull market, the profit-taking rate should not be set too low, otherwise you will not make much money when you are in a bull market.