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What does the remaining limit of wealth management products mean?
The balance that can be purchased.

A wealth management product will have the amount raised, and the remaining amount refers to the amount that can be purchased after the product is sold. China Merchants Securities has a variety of wealth management products, with low starting point, high income and free time.

The minimum repayment part is basically not in installments, and the remaining 18000 should be in installments. You can log in to China Merchants Bank online banking first to confirm the amount that can be divided into installments.

The late payment fee of China Merchants Bank is calculated as 5% of the unpaid minimum amount, and the minimum fee is RMB 10 yuan or USD 1 yuan. If the repayment is 6000 yuan, the late payment fee =( 12000-6000)* 5% = 300 yuan; Interest depends on the date of credit card swiping. 30,000 yuan from the date of swiping the card, calculate the interest of five ten thousandths.

Extended data:

Simply put, when a fund is issued, it has a total number of shares, and the net value is how much a fund is currently selling. For example, if you buy 1 0,000 funds with a net value of 1.2 yuan, then the price you buy is 1, 200 yuan, the net value when selling is 1, 300 yuan, and the net profit when selling is 1 0,000 yuan.

Net fund value refers to the net asset value of each fund. The formula is: net fund unit value = (total assets-total liabilities) total fund shares. The subscription and redemption of open-end funds are executed at this price, which is calculated after the market closes every day and announced the next day. The transaction price of closed-end funds is the market price determined when buying and selling. Simply put, when the fund is issued, there is a total share, and the net value is how much a fund has sold at present.

Net fund value refers to the net asset value of each fund. The formula is: net value of fund unit = (total assets-total liabilities) ÷ total fund shares.

The subscription and redemption of open-end funds are implemented at this price, calculated after the market closes every day and announced the next day. The transaction price of closed-end funds is the market price determined when buying and selling.

Reference source: Baidu Encyclopedia-Remaining

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