What does it mean to confirm the share when the fund is withdrawn?

Updated on Financial 2024-03-28
17 answers
  1. Anonymous users2024-02-07

    **Confirmed share, that is, after the investor ****, the share held in the investor's name is confirmed.

    Because ** is an unknown price transaction, after the investor ****, according to the ** net value of the day, minus the subscription or subscription fee, and then confirm how many shares the investor bought.

    Generally speaking, before 15:00 on T day, investors can confirm the share on T+1 day, and they can see the income on T+2 day.

    The amount of shares held by investors will not change.

    Before making any investment, you should ensure that you fully understand the investment nature and risks involved in the product, and carefully evaluate the product in detail before making your own judgment on whether to participate in the transaction.

    The official website shall prevail.

  2. Anonymous users2024-02-06

    If you redeem today, the official will calculate the latest net value of the day after 15 o'clock today, and the money you redeem will be converted with this latest net value.

    The share is confirmed at the beginning of your subscription to this **. When you redeem, the official is to calculate the amount of your redemption**!

  3. Anonymous users2024-02-05

    If the investor is after 15:00 on the previous trading day, ****, the share will be calculated according to the net value announced in the evening of the same day, and the share will generally be confirmed at 9:30 on the left and right of the next day, if the investor is at 15:00 on the previous trading day

    After 00, the ** application is generally submitted on the next day, and the share is calculated according to the net value announced on the next night, and the share is confirmed on the next trading day, and the corresponding extension will be carried out in case of holidays.

    Extended information: **are calculated by shares,** there will be a net value every day, and the amount of your fixed investment on that day of each month will be divided by the **net value of the day after deducting the procedures.

    That's your share, and the sum of your monthly share is your total share.

    The amount of purchase ** is 500 yuan, minus the subscription fee, divided by the net value on the day of subscription, and the number of shares is obtained.

    Because the net value changes every day, the share of each subscription is different. After 21 months of regular investment, divide the total investment amount by the total number of shares to obtain the average cost.

    When calculating the income, multiply the total score by the net value of the day, and compare it with your own investment, you can know whether you lose or earn, and what you earn is the profit.

    **Share refers to the certificate that the promoter is publicly issued to investors, indicating that the holder has the right to income distribution, the right to obtain the remaining property after liquidation and other related rights according to the share it holds, and undertakes the corresponding obligations.

    Closed**.

    The ** shares can be traded on the ** trading venue established in accordance with the law, and if the ** is operated in other ways, if it is necessary to be listed and traded, the authorization *** shall be separately stipulated.

    Therefore, the ** share listing transaction mentioned in this chapter refers exclusively to the listed transaction of ** shares of the closed-end **. The listing and trading of shares refers to the application of the ** manager and the approval of the ***** regulatory authority, and the ** shares are on the ** exchange.

    Listing, using open centralized bidding to buy and sell.

    **The formula for calculating the share is:

    Subscription share Net subscription amount Net share on day t, net subscription amount Subscription amount Subscription amount (1 subscription rate), generally speaking, when the investor buys a lower **net value and invests more funds, the investor holds more **shares, on the contrary, the higher the **net value of the purchase, and the less funds invested, the less **share the investor holds. For example, when the net value of the investor is 1 yuan, the subscription rate is 150,000 yuan, and the subscription rate is, the investor's subscription share is 150,000 (1 share.

  4. Anonymous users2024-02-04

    **It is based on "shares", and the share held is the share enjoyed by the individual after purchasing**.

    Confirm the share, that is, before three o'clock on the T day of the day, **, calculate the share on this T day, confirm the share, for example, at 14:50 on June 6, 2020**, around 16:00**After the company announces the net value, the second trading day, the net value on June 6 will be used to calculate the share.

    To put it simply, the transaction price is the net value of the day. The share is calculated using the net value of the day and the share is confirmed.

    The confirmed share is the share that the purchaser transfers to the account after the purchase**. Usually when purchasing, the investor's purchase amount should be deducted from the handling fee based on the net value of the ** held before the specified period of the day, and under normal circumstances, the subscribed share will be confirmed until two working days after the trading day.

  5. Anonymous users2024-02-03

    "**share" simply refers to the ** amount you hold, and you will enjoy the income according to the amount you hold in the future.

  6. Anonymous users2024-02-02

    That is, the amount of your purchase minus the handling fee, how many shares you hold, and the net value of the purchase is the amount you purchase, and the share is also called the amount of net value held.

  7. Anonymous users2024-02-01

    It's the share you actually hold.

  8. Anonymous users2024-01-31

    Buy**, professionally speaking, is to purchase**. And to really buy the best is to confirm the share. It takes time from the subscription to the confirmation of the shares, which generally takes 1 to 3 days.

    Generally speaking, the subscription diary is T day, that is, the day of buying**. Most of the ** share confirmation date is T+1 day, that is, the day after you buy **, so you can know how much ** share you have bought.

    In particular, it should be noted that on Friday, if you apply for the purchase before 3 p.m. on Friday, you can also confirm the **share on the following Monday. But after 3 o'clock, it had to be postponed until next Tuesday.

  9. Anonymous users2024-01-30

    Normally, it takes two to three working days to confirm the share before the purchase is successful.

  10. Anonymous users2024-01-29

    Summary. **Confirm that the share is worth the ** share held by the investor**** after confirming it.

    **Confirm that the share is worth the ** share held by the investor**** after confirming it.

    **It is an unknown price transaction, after the investor ****, according to the **net value of the day, minus the subscription or subscription fee, and then the investor can confirm how many copies the investor bought.

    Entering the market is risky, and investment needs to be cautious. Before you make any investment, you should ensure that you fully understand the nature of the product and the risks involved, understand and carefully evaluate the product in detail, and then judge whether to participate in the transaction.

  11. Anonymous users2024-01-28

    The basic gold share is a certificate that is publicly issued to investors, indicating that the holder has the right to income distribution, the right to obtain the remaining hidden property after liquidation and other related rights according to the share it holds, and bears the corresponding obligations.

  12. Anonymous users2024-01-27

    **What does it mean to have a good base for the slippage.

  13. Anonymous users2024-01-26

    **All. It's by shares, every day.

    There will be a net worth, the amount of money you invest on that day of each month.

    After the deduction procedure is continued.

    Dividing. ** net worth of the day.

    It's your share, the monthly share.

    Adding up is that you are the total share.

    You want to find out how much money you've made someday, go.

    Daily**.com.

    Check the equity of the ** you purchased on that day.

    Multiply by your total share and you'll get your total amount. Your net worth changes every day, so your money changes every day.

    How much money you make, minus your investment is earned, haha, it's very simple.

  14. Anonymous users2024-01-25

    **Holding share: It means that the holder has the right to income distribution, the right to obtain the remaining property after liquidation and other related rights according to the share it holds, and bears the corresponding obligations.

    Market value refers to the market value, that is, the circulating value. Net worth determines market capitalization, but there is also a divergence between the two. It is subject to change at any time, and the value represented by the actual split per share is the value represented by the actual split per share.

    The market value of the closed-end ** is less than the net value because the net value of the closed-end ** is liquidated after the end of the closed-end **. The market capitalization of open-ended** is equal to the net value. In other words, the discount of a closed ** is a closed effect.

  15. Anonymous users2024-01-24

    The number of holdings **.

    The share represents the number of Cong Feng, the number of shares held refers to the number of shares, the number of shares held is determined at the time of **, the amount of **** is divided by the net value to get the number of shares held, the implementation of T+1 transactions, the second trading day of the same day to confirm the shares, and the transaction is carried out with the net value.

  16. Anonymous users2024-01-23

    ** purchased on Wednesday night, share confirmed on Friday. Equity is calculated based on Thursday's equity.

    **The confirmation rule of the transaction is that the net value is traded on T day, the transaction is confirmed on T+1 day, and it can be redeemed on T+2 day.

    If you know T-day, then T+1 and T+2 can be known.

    The T-day is not necessarily the calendar day you trade.

    For example, in your case, if you trade on Wednesday night, the T day is Thursday. Because it's past 15 o'clock on Wednesday.

    So, if you trade after 15 o'clock on a weekday, T day will be the next business day.

    If you trade before 15 o'clock on Wednesday, say 10 a.m., then T day is Wednesday, and the equity is calculated according to Wednesday, and the transaction is confirmed on Thursday.

    There is also a situation where trading is on a rest day, so the same reason, because it is not a working day at that time, so T day is the next working day, such as Monday, then the net value is calculated according to Monday, the share is confirmed on Tuesday, and it can be redeemed on Wednesday.

  17. Anonymous users2024-01-22

    If you subscribe on Wednesday night, you can only follow the **** on Thursday, so you can confirm the share on Friday.

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