On the day of buying (selling), if it is before closing at 3 pm, it will be confirmed according to the net value of that day the next day, and then the income will be seen on the third day.
If you sell it, you won't receive the money until the next day.
If it is operated after closing at 3 pm, it needs to be postponed for one day.
Then it will be postponed to the next working day in case of holidays.
So the fund you sold is still in your fund because it has not been confirmed.