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What is the net value of buying before three o'clock?

The trading rules of funds are based on the t+1 day system. It takes the next day for the fund to confirm its share, and there is a critical time point of 3 pm for the fund to buy. Buying before 3 pm is different from buying after 3 pm.

what is the net value of buying before three o'clock?

fund purchases before 3 o'clock are calculated according to the net value of the fund on the trading day, and purchases after 3 o'clock are calculated according to the net value of the fund on the second trading day, and the net value of the fund is the closing price of the fund on that day. After the fund buys before three o'clock, it will confirm its share on the second trading day, and after three o'clock, it will confirm its share on the third trading day. In addition, it is best to avoid weekends and holidays when buying funds. If there is a holiday or weekend confirmation time will be postponed, the fund will only start from Monday to weekend, and the market will not open on weekends and holidays.

do I have anything to do with buying funds before three o'clock and rising the next day?

Yes, the fund goes up the next day when it is bought before three o'clock, and investors can also get profits. If it is bought after three o'clock, then the fund's rise the next day has nothing to do with investors, and it will be bought at the net value of the next day's rise. This time is equivalent to chasing up, so you must pay attention to the time node when buying the fund. However, the fund can be revoked after buying, and the fund bought before three o'clock can only be revoked before three o'clock. Those bought after three o'clock can apply for cancellation before the close of the next day.

Generally, the fund's net value is green, which means loss, and red is profit. It should be noted that the real-time value that investors see on the trading day is the valuation of the fund, and the fund income is calculated according to the net value of the fund. The fund valuation is only a rough estimate, so it is normal for the fund net value to be different from the valuation when it is updated. Fund returns are generally updated at 8: or 9: in the evening. After the update, the fund returns will be automatically updated, and the update time of different fund consignment platforms will be different.