The basic steps are as follows: first, know your own fund code and decide whether to go public; Second, know the seat number in the market; Then, carry out the off-site fund account association in the corresponding securities company account; After the third batch is passed, it will be transferred to the infield.
The fund can be sold on the same day after it arrives. It should be noted that the price of funds in the venue is generally a few points lower than that outside the venue. If it is not urgent to use money, it is not recommended to transfer to on-site trading.