Current location - Trademark Inquiry Complete Network - Tian Tian Fund - The net value of the fund comes out at three o'clock every afternoon, but you can't see the latest net value until around seven o'clock in the evening. How did you know this afternoon?
The net value of the fund comes out at three o'clock every afternoon, but you can't see the latest net value until around seven o'clock in the evening. How did you know this afternoon?
1. The net unit value of the fund on that day can only be seen around 19:00, because the fund company has to calculate the data after the closing of 15:00.

2. The net value of a fund unit is the net asset value of each fund unit, which is equal to the balance of the total assets of the fund minus the total liabilities and then divided by the total number of unit shares issued by the fund. The subscription and redemption of open-end funds are carried out at this price. The transaction price of closed-end funds is the known market price at the time of trading; On the other hand, the unit transaction price of the open-end fund depends on the net asset value of the unit fund, which is unknown at the time of subscription and redemption (but it can be calculated after the market closes on the same day and announced on the next trading day).