Fund income is generally updated at 24: p.m., that is, the income generated on the same day will not be updated until the next day, because the fund calculates its income based on the rise and fall of its net value, and the fund net value is generally updated after the stock liquidation, which takes place from 6: p.m. to 1: p.m. on the trading day, and the income can only be calculated after the net value of the fund comes out, so the fund income can generally be updated the next day.
fund income = (the current net value of the fund-the net value when the fund is bought) * fund share, and the fund income is determined by the investment target.