There is no income on the day of quick redemption of the money fund. Redemptions of other funds before three o'clock shall be calculated based on the net value of the fund's rise and fall on that day. If the fund rises on that day, it will be calculated according to the rising net value, and the falling net value will be calculated.
Extended data:
If the fund transaction is bought on the trading day (the opening time of the stock market from Monday to Friday), you can generally see the fund shares bought after T+2.
Reservation funds should be purchased on non-trading days, and will generally be postponed to the next trading day for trading. Fixed investment will be traded at the time selected by the customer. If the selected time is not a trading day, it will be postponed.
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