Alipay funds can be sold in full. When the fund is sold, it shows the fund share, not the total amount of the fund, because the fund is calculated according to the net value at the close of the trading day, and on the day of the fund sale, the net value of the fund is unknown, only the fund share is determined, so the fund share redeemed at the time of fund redemption.
The redemption fee will be deducted from the fund redemption. After deducting the handling fee, it is the real income in the hands of investors. If the fund is redeemed on the trading day, the fund share will be confirmed on the second trading day, and the share will be received after confirmation.