The BIB Fund's return is calculated as follows:
(1) The end date of the subscription is T day, and the subscription order will be processed at 12:00 on T+2 day, and the income will be calculated after the order is confirmed;
(2) The subscription fee will be deducted when the user actively redeems on the redemption open day. Fees, management fees, and performance fees will return the principal and fund income in one time