What s going on with the fund s confirmed ratio

Updated on Financial 2024-05-07
13 answers
  1. Anonymous users2024-02-09

    Confirmation ratio Actual sales amount Application amount * 100

    If the actual sale is made.

    The confirmation ratio is 100

    Because it's impossible for others to sell it if they don't buy it.

    The question you would add should be whether you can scale up rather than increase your share.

    Expanding the share is to redivide the original size unchanged, that is, your previous 1 share becomes the current x share, but now the net value of each share is only 1 x of the original net value. In fact, there is no purely mathematical impact on the holder. In other words, how to change you are still so much money.

    The expansion of the scale is that it was originally planned to be 9 billion, but now it has become 12 billion.

    This is a matter for the ** company to decide.

    It is possible that they will adjust slightly within the range of funds that the analysis believes will be raised in advance.

    After all, they also have to consider that blindly expanding the scale is also irresponsible to the people.

  2. Anonymous users2024-02-08

    If you don't understand upstairs, don't mess with newcomers.

    The quota ratio is based on the amount raised on the same day, and the domestic demand momentum issued in April set a record of more than 90 billion in a single day, resulting in a pitiful 11% of the final confirmation ratio, that is, 1,000 yuan can only get 110 copies of the **.

    The final confirmed ratio of this ChinaAMC Global Selection is:

    The quota ratio is the size of the subscription funds on the day and the upper limit of the set size.

    You're asking about the starters, only the situation above.

    The question you added is different from your original question, and the only way to expand the share is to spin off, because the investment enthusiasm is high now, so no matter what the day of the spin-off, it will be allocated proportionally. Because there are too many funds to buy.

    Is there such a good thing? All of you think like that, do you buy it personally, and 10 billion will be counted on your head? Is it possible?

    Close or not exceeded, the company can announce the end of the issuance in advance, you buy as much or as much as you want.

  3. Anonymous users2024-02-07

    For example, ** subscription is to raise funds If you plan to raise 10 billion funds, but the subscription funds reach 100 billion, and you use 100,000 yuan to subscribe, and finally you successfully subscribe for 10,000 is 1/10 Not only you, all the people who subscribe, regardless of the amount of funds, are distributed according to this ratio.

  4. Anonymous users2024-02-06

    If it is the net value of the yuan, you have 10 shares, and after the split, it is 18 shares of one yuan**.

  5. Anonymous users2024-02-05

    The recognition amount is not the same as the recognition share because the amount is the total value of the holdings. The calculation method is: **Share = Amount of net value per unit.

    **Amount = Share * Net Unit Value.

    In general, the net value of the unit is greater than 1.

    Because the handling fee is deducted, the amount of the confirmed share and the confirmed amount of ** are different. If you want to buy, you need to pay attention: you must pay attention to the proportion of ** varieties arranged according to your own risk tolerance and investment purposes.

    Pick the ** that suits you to buy, and set the investment ceiling when buying the stock-biased **. Be careful not to buy the wrong "**". **The popularity has attracted some fake and shoddy products to "fish in troubled waters", so pay attention to identification.

    Be careful not to judge heroes by short-term ups and downs. It is unscientific to judge the advantages and disadvantages of the ** by short-term ups and downs, and it is necessary to comprehensively evaluate and long-term investigation in many aspects.

    Extended Materials. When investors intend to redeem the ** in the counterparty, they can bring the opening bank.

    The debit card and ** transaction card, also fill out and submit the transaction application form before 3 pm, after the counter is accepted, investors can inquire after 5 days, and the redemption funds will be received.

    If the trading investor needs to cancel the transaction, he can bring the **transaction card and bank debit card, fill in the transaction application ** at the counter, and indicate the cancellation of the transaction before 15 o'clock on the day of the transaction. If it is after 15 o'clock, some banks can make an appointment to trade according to the exchange rate of the day, and the transaction will be carried out on the next working day. Almost all banks and management companies support online transactions.

    According to the provisions of the law, the management company is closed for the closed.

    The dividend requirement is that at least 90%** of the net income must be distributed in cash and at least once a year in order to meet the dividend conditions.

    The principle of open-ended dividends is: the net value of each share after the distribution of income cannot be lower than the par value; The bank transfer or other handling fees incurred during the distribution of income shall be borne by the investor;

    Under the premise of meeting the relevant conditions for dividends, it is necessary to stipulate the maximum number of annual distributions and the minimum proportion of annual income distribution; **No income distribution will be made if there is a net loss in the current investment period; **The current year's income should first make up for the previous year's loss before the current year's income can be distributed.

  6. Anonymous users2024-02-04

    Hello, these are two different concepts, the confirmation amount refers to how much money you spent on buying, and the confirmation share is the amount divided by the net value of **. This is the same as when you go to the vegetable market to buy vegetables, you spend 100 yuan to buy 10 catties of pork, here 100 yuan is the confirmed amount, and 10 catties is the confirmed share. The reason is the same, it's just that the things you buy are different!

  7. Anonymous users2024-02-03

    ** Recognition amount, the recognition share is not the same as the recognition amount, because **share multiplied by the net value of the unit is the **amount.

  8. Anonymous users2024-02-02

    First of all, we must understand the relationship between the amount and the share, the amount is not necessarily equal to the share, the amount = the share of the net value of the unit, so as long as the net value of the unit is greater than 1, the share is less than the amount.

    In general, the net value of the unit is greater than 1.

  9. Anonymous users2024-02-01

    ** 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.

  10. Anonymous users2024-01-31

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

  11. Anonymous users2024-01-30

    **Confirmed share is the share held by the investor's name after the investor**** is confirmed. ** is an unknown price transaction, after the investor ****, according to the ** net value of the day, minus the subscription or subscription fee, can confirm the actual share held by the investor.

    Ping An Bank has a variety of ** products, each ** risk, investment direction is different, you can log in to Ping An Pocket Bank APP-Finance-Wealth Management-** channel, to understand and buy.

  12. Anonymous users2024-01-29

    Generally, the ** share can be queried on T+2 trading days, and the ** transaction is before 15 o'clock on the day of the trading day, which belongs to the subscription on the same day, and the share is confirmed according to the **net value of the day.

    Trading hours are the open time periods for subscriptions, conversions, redemptions or other transactions. The trading hours are the trading hours, from 9:30 a.m. to 3 p.m. every day

    00。The ** that applies for trading during non-trading hours is traded at the ** price of the next day.

    For example: last night to apply for **a**, then the actual **** is today's **price. **The **price is generally quoted in the evening.

    Trading hours are working hours; However, the net value of the transaction is bounded by the closing of the market at 15 o'clock, and the order placed before 15 o'clock is traded according to the net value of the day, and the order placed after 15 o'clock is traded according to the net value of the next day. The ** that applies for trading during non-trading hours is traded at the ** price of the next day.

    For example: last night to apply for **a**, then the actual **** is today's **price. **The **price is generally quoted in the evening.

  13. Anonymous users2024-01-28

    **It is the amount of ** that is determined by dividing the net value at the time by deducting the management fee, some ** are full single charges, some ** are back-end charges, and some are only management fees.

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