Contrary to buying funds, investors sell funds by selling their fund units to fund managers at a certain price and recovering cash. This process is called redemption. The redemption amount is calculated on the basis of the net asset value of the fund unit on that day. Investors should generally fill in the redemption application form at the fund sales point and go through the redemption procedures.
In addition, you can open online banking in the bank and use it to buy and sell (this is different from buying from the fund company's website. Online banking is a consignment method, only online trading is a direct selling method, and the fund company's website is a direct selling method with the lowest rate but relatively troublesome procedures).