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Generally speaking, what is the basis for calculating the subscription and redemption prices of open-end funds?

Based on the net value of fund shares.

The net value of fund shares is the net asset value of the fund divided by the total number of fund shares, reflecting the value of each fund.

When subscribing and redeeming, investors need to calculate the actual subscription and redemption prices based on the net value of fund shares on that day, plus or minus necessary fees (such as subscription fees, redemption fees, etc.).