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Questions about the working days of fund companies

Hello:

1. Every Monday to Friday is the working day of the fund company. After you purchase the fund, it is usually confirmed after T+2, that is to say, your purchase will be confirmed on the 6th The purchase application submitted on (Saturday) will be received from the fund company on the 8th (Monday), and then 2 days later, the purchase should be successful and can be queried on the 10th (Wednesday).

2. After submitting the application, your purchase funds should have been deducted, and you can confirm this in your account balance. When the application is successful, the transaction type in the transaction details will display "Subscription Confirmation", which means that your subscription was successful.

3. Almost all fund companies work from Monday to Friday, from 9:00 to 14:00. It will be postponed in case of statutory holidays. If you want to know the details of the fund company, you can log on to their website or call their customer service number.

4. An application can be made to redeem (sell) the fund at any time. The fund company will process the application within working days. Generally, the redemption application is confirmed on T+2 and the redemption is made on T+7. Funds credited into account.

I don’t know what you mean by “continue buying when you have extra money”. If you are referring to continuing to buy the same fund, the operation is the same. If you are referring to the fund dividend method , you can modify the fund dividend method in Fund Transaction-->Modify the fund dividend method in online banking, and select the latter between "Cash Dividend" and "Dividend Reinvestment".

Additional question: Whether this fund can be bought and sold at any time depends on the period it is in. It can be subscribed during the subscription period, purchased and redeemed at any time during the open period, but not during the closed period. any operation. For specific information, you can inquire in the "Trading Channel" --> Fund on the homepage of the ICBC website, or you can log in to the website of the fund company to inquire.

There are purchase rates and redemption rates for purchasing funds. For specific information, you can check according to the above method. Generally speaking, the calculation method for the net income you get is: net fund value on the redemption day * fund shares - net fund value on the subscription date * fund shares - net market value on the redemption day * redemption rate - fund subscription fee * subscription rate

Finally, funds are also risky. Whether you can make money depends on the overall market conditions and the type of fund you choose. I personally think that generally speaking, if you hold it for a long time, you still have a great chance of making money. of.