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How to check the account when buying a fund in a bank?
Generally speaking, the bank will provide your trading records after you trade T+2 to T+5 working days, that is, the amount you bought, the share, the net value at the time of trading, etc. But generally speaking, most fund companies will generate your trading information the next day (as long as you trade before 3 pm on the previous working day).

According to your situation, because Jing Shun is a new fund, it may take a few days to find the relevant information, but Guangfa preferred it because it is an old fund, and it should be available on the website of Guangfa Fund now.

If you need to redeem the fund in the future, you still need to go to ICBC to redeem it. Because you bought it on a commission basis, the fund company only provides inquiries and does not provide transactions, including dividends. Please also go to ICBC to change it.