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When is the net value calculated for fund conversion?
If the fund is converted before 3 pm on the trading day, the net value shall be calculated according to the converted net value of the fund on that day; If the fund is converted after 3 pm on the trading day, the net value shall be calculated according to the net value of the fund on the day before the conversion.

Fund conversion means that investors can convert into other funds managed by the same fund company under the condition of holding funds. The benefit of fund conversion lies in saving redemption and subscription fees first, and then saving a lot of time, so that the purchased fund can give full play to its value.