Funds are divided into on-site funds and off-site funds. Generally, the net value and share of funds bought before the fund trading day 15:00 (excluding) are calculated as the net value of the day and can be sold on the next trading day. If it is bought after the fund trading day 15:00 (excluding), its net value and share will be calculated as the net value of the next transaction, and it will not be sold until the next trading day at the earliest. Ping An Bank sells a variety of fund products on a commission basis. Different funds have different risks, returns and investment directions. You can log in to Ping An Pocket Bank APP- Home-Financial Management-Fund Channel for information and purchase.
Tips: The above information is for reference only, subject to the regulations of the fund company.
Reply time: 2022-0 1- 19. Please refer to the latest business changes announced by Ping An Bank in official website.