The fund's income on September 12 has not been updated.
It belongs to a holiday. Fund, in English, refers to a certain amount of funds set up for a certain purpose. It mainly includes trust and investment funds, provident funds, insurance funds, retirement funds and funds of various foundations. The reason why the fund's income on September 12 was not updated was that September 12 was a domestic holiday, so the fund did not update its net value.