Generally, the funds of fund companies will not announce their net value until around 8 pm, but some fund companies will announce their net value the next day because of the troublesome calculation method of net value at present.
The net value of a fund unit refers to the value of each fund and is an indicator to measure the value of the fund. Net value of fund unit = total net asset value of fund/total share of fund unit, and the subscription and redemption of open-end funds are carried out at this price.