The redemption rule of the fund is that if we redeem the fund before 3 o'clock on the trading day, we will redeem it according to the net value of the fund on that day. If we redeem the fund after 3 o'clock on the trading day, then the fund will be redeemed according to the net value of the fund on the second trading day. The net value of the fund we saw when we redeemed it was the net value of the fund on the previous working day, not the net value when we actually redeemed it. This belongs to the OTC fund.
The trading rules of on-site funds are the same as those of stocks. As long as it is within the trading hours, as long as there is a purchase, we can sell it at any time. And the funds in the market will fluctuate with the market like stocks. In other words, when the stock market falls sharply, the funds in the market will also fall sharply. Therefore, even if we hold the floor fund and sell it on the day of the stock market crash, it is not necessarily a loss.