Is the fund a profit on the day of purchase? I believe many people are curious. Can you calculate the income on the day of purchase? If it can be counted, how exactly is it calculated? The following is the income of the fund arranged by Bian Xiao on the day of subscription. I hope you like it.
Is the fund a profit on the day of purchase?
From Monday to Friday, funds that subscribe for funds before 3 pm have no income on that day, and the net value is confirmed according to the net value after the market closes on that day. Saturday, Sunday and legal holidays are not trading days, and funds can also be purchased on weekends, but they can only be accepted on Mondays. The net value is calculated according to the net value after the market closes on Monday. In other words, the net value of the fund purchased after 3 o'clock confirms the net value of the next trading day. The net value of funds purchased after 3 o'clock is the same as that purchased before 3 o'clock the next day.
How long can I buy a fund and sell it?
The purchased fund can only be sold after the fund confirms its share. The specific selling time requires investors to consider factors such as fund trends and market conditions. It should be noted that if investors sell within 7 days, they will be charged a high redemption fee of 1.5% of the turnover.
Summary: the trading time is before the current day 15:00, and it is calculated according to the current day's net value. Therefore, everything users buy before 3 o'clock is bought at the net price after the close. The fund does not count as income on the day of buying, but counts as income on the day of selling. However, it should be noted that the fund is sold at the trading time of the day, and the subscription and redemption of the fund is bounded by 3 pm that day. All purchases or redemptions made before 3: 00 pm are calculated according to the net value of the fund at the end of the transaction on that day, and purchases or redemptions made after 3: 00 pm on that day are calculated according to the net value announced at the end of the transaction on the next day.
Is the fund a profit on the day of purchase?
No, the fund implements T+ 1 trading, and purchases on the same day are calculated according to the net value at the close of the day of purchase. Confirm the share on the second trading day, and calculate the income after the share is confirmed, that is, buy it on the same day, and calculate the income on the second trading day.
Fund income is determined by the investment target. Investment targets go up, funds go up, investors gain, investment targets go down, and investors lose. The trading hours of the Fund are: Monday to Friday at 9: 30 am-1:30, and in the afternoon 13:00- 15:00.
Classification of fund purchase strategies:
1. One-time buying strategy: after selecting the fund, choose the right time to buy it at one time, and then do not add positions.
2. Buying strategy of adding positions only when the rate of return is negative: because only in this way can the cost of holding positions be continuously reduced.
3. Regular fixed buying strategy-fixed investment: fixed investment is more suitable for ordinary office workers and low-risk investors, and there is not so much time to pay attention to the stock market.
4. Regular and irregular buying strategy is an upgraded version of the fund's fixed investment.
5. Pyramid buying strategy: increase investment share when the market falls. Increase the investment share when the market falls.