For the funds subscribed through cash treasure, the redemption money will be paid to the cash treasure account first, generally speaking, it will be paid to the cash treasure account before 24: 00 on t+/kloc-0 trading days. If it is a fund product purchased by a bank, brokerage firm or other consignment agency, the redemption time of the money fund is generally T+2 to T+4 trading days. The redemption time of stock, hybrid and bond fund products is T+4 to T+7 trading days, and the fund products of Guo Jin Securities are bonds. Therefore, the redemption time of Guo Jin Securities in cash treasure is T+4 to T+7 trading days.