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Basic knowledge of fund introduction How to sell funds?
Buying funds to make money, buying is the key, and selling is also the key. Most investors still have some research on buying funds, but they begin to feel confused when selling funds, because they want to make more money, but they always feel that now is not the time to sell. So how to sell the fund?

Basic knowledge of how to sell a fund?

Selling funds is actually very simple. Click on the fund you hold to choose redemption and enter the share. The key is how to sell it to make the most money. In fact, you should not blindly pursue selling funds to make the most money. After buying a fund, you can set a profit-taking point for yourself. When the profit of the fund you hold reaches the set profit point, you can sell it without hesitation.

Because many investors are just too greedy, they always feel that there is a better opportunity and want to wait. As a result, they turned around and began to fall, missing the opportunity to sell at a high price. If you set a take profit point and sell it in time, you won't have this kind of trouble. The contents involved include the timing of selling (look at the market index, industry valuation, awkward stocks, news events) and selling methods (one-time selling, profit in batches, etc.). ) and selling cost (redemption fee, time cost, etc. ).

Relevant rules of fund sales

The subscription/redemption before 1 and before trading day 15:00 shall be based on the net value of the current day, and the net value of the current day shall be inquired on the next trading day; The subscription/redemption after trading day 15:00 is regarded as the transaction of the next trading day, and the share is converted according to the net value of the next trading day, and the net value of the transaction can only be found on the third trading day.

2. During the closed period of the fund, it is generally not redeemable. The minimum number of copies sold each time shall be provided by the fund company, and the specific amount shall be subject to the page prompts.

3. The redemption amount of the Fund is calculated according to the net asset value of the fund unit on that day.

4. When you sell a fund, you sell the fund share, not the amount.

5. The longer the fund is held, the lower the selling rate.

After reading the above introduction, I believe everyone has a deeper understanding of how to sell funds. Fund selling is similar to stock selling, but there are also differences. The fund sale is based on the current net value, and the money after the sale will arrive in the account within 3 days.