Under normal circumstances, the fund will not be updated for several days. Investors should pay attention to the fact that, except for the money fund, it is normal that it is not updated on weekends and holidays. If it is not for the above reasons, investors can pay attention to the fund announcement or consult customer service staff.
Fund net value is generally announced in batches every trading night. Investors can go to the website of the relevant fund company or check whether the net value is updated on the platform of purchasing the fund.