However, funds are traded on a net basis, and the decline in the net value of funds will reduce the cost of investors. It is generally more cost-effective to buy when the fund falls.
T+ 1 transaction of this fund. If the fund is bought on the trading day (trading time), it is calculated according to the net value at the close of the buying day. The share is confirmed on the second trading day, and the income is calculated after the share is confirmed. The freezing of fund shares means that the fund shares are set to be non-negotiable. Once the fund shares are frozen, investors can't do anything with the frozen shares until the shares are thawed.