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How to open new debt subscription
Like issuing new shares, subscribing for new bonds requires opening a securities account, which can be opened offline through the business outlets of securities companies or online through the brokerage APP. After the opening, log in to the securities account, pay attention to the newly listed new bonds and the corresponding subscription time, and the listed company will make an announcement in advance.

After determining the new debt to be purchased, you can enter the code and purchase amount of the new debt just like buying stocks. Many brokers also offer a new function-buttons. The denomination of new debt is usually 100 yuan, and the minimum unit is 1 hand, that is, 10 new debt, that is, 1 hand is 1000 yuan, excluding the handling fee.

After the subscription is completed, the winning result will be announced on T+2. After winning the lottery, paying according to the winning number represents new success. After the subscription is completed, the new bonds will be listed one month later, and the expected return on the first day of listing is usually above 10%. On the day of listing, investors can choose to sell new bonds.

Subscribing for new bonds generally refers to subscribing for convertible bonds or exchangeable bonds issued by listed companies. Convertible bonds are called convertible corporate bonds. Like other bonds, convertible bonds have stipulated interest rates and maturities, but unlike ordinary bonds, convertible bonds can be converted into stocks under certain conditions. Without conversion, convertible bonds are simply regarded as bonds with pure debt value or direct value. If it is directly converted into stocks, the value of convertible bonds is called conversion value.

Subscription and subscription of open-end funds are two different stages of purchasing funds. If an investor purchases a fund share during a fund raising period, it is called subscription, and the par value of the fund unit is RMB 65,438+0 yuan.

1. After the fund raising period ends and is established, investors purchase fund shares according to the procedures stipulated by the fund sales organization, which is called subscription. At this time, because the net value of the fund has already reflected the value of its portfolio, the net value of each fund share is not necessarily 1 yuan, which may be higher or lower than 1 yuan. Moreover, due to the different subscription rates and subscription rates, the number of fund shares obtained by subscription and subscription of the same fund is also different in most cases.

2. Subscription and subscription rates may be different. Fund companies usually set different levels of subscription and subscription rates, that is, different levels of rates are applied according to the amount of funds subscribed by investors. Under the same subscription amount, the subscription rate and subscription rate may be different. Please refer to the fund rate statement for details.