If the fund is redeemed at 3 pm on the trading day, the redemption price shall be calculated based on the net value of the fund at the close of the redemption day, and the fund share shall be confirmed on the second trading day.
If the fund is redeemed after 3 pm on the trading day, the redemption price shall be calculated according to the net value of the fund at the close of the second trading day, and the fund share shall be confirmed on the third trading day.