Redemption fee = redemption share × net value of fund unit on redemption day × redemption rate
Redemption amount = redemption share × net value of fund unit on redemption day-redemption fee
Fund redemption refers to the investor's application to sell his share of fund/wealth management products during the fund opening period. If you want to redeem the fund after purchasing through China Everbright Bank, you can apply for operation through online banking, telephone banking, mobile banking and counter of China Everbright Bank.
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