Content and location of fund sales
Fund selling generally refers to the redemption operation of open-end funds, that is, investors withdraw from fund investment to fund companies or fund sales institutions, and then fund companies calculate the fund shares purchased by investors according to the net value of funds, and return all the funds and income of investors to fund investors. Investors shall conduct fund redemption operations in the fund company or the agency set up by the fund company in the manner prescribed by the fund company.