The redemption of the Fund is based on the share, and the redemption before the trading day 15:00 is calculated according to the net value of the Fund on that day; Redemption after trading day 15:00 is calculated according to the net fund value of the next trading day. The calculation formula is: fund redemption amount = fund share * fund net value-redemption fee and other expenses.
Reply time: 2020- 1 1-25. Please refer to the latest business changes announced by Ping An Bank in official website.
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