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What does the position share of Industrial Bank's wealth management products mean? Why is the position share inconsistent with the available share?
Position share refers to the number of wealth management products bought by a * * *. For example, wealth management products are a one-yuan share, and buying 1 0,000 is the position share of 1 0,000.

If it is inconsistent, it is because bank wealth management or funds are generally redeemed at T+ 1 day. For example, I bought 10000 shares today, but the available share is 0. If tomorrow is still a working day, the share will become 10000 shares.

Simply put, the time difference leads to the inconsistency between the position share and the available share.

Extended data:

Fund redemption time

The subscription and redemption of the fund shall start within 3 months after the fund contract comes into effect, and the fund manager shall make an announcement on at least one designated media and the fund manager's Internet website (hereinafter referred to as the "website") 2 days before the specific date of subscription and redemption.

Fund redemption generally requires two working days for system confirmation and then liquidation. The fund subscription and redemption can only be said to be successful if it is confirmed by the T+2 system.

The general redemption process of open-end funds is: T day is not reported, T+ 1 has been reported, and T+2 has been completed. The fund subscription and redemption can only be said to be successful if it is confirmed by the T+2 system.

It is normal to display the uncommitted orders on the submission date (T date). Even if the order is placed around 2:50, as long as records are found in the entrusted inquiry, it will generally be submitted on the second trading day (T+ 1 day) and completed on the third trading day (T+2). And then after liquidation. Therefore, open-end funds generally take about 4 working days. Other overseas funds are generally within 10 days.

Baidu encyclopedia-fund redemption