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How long will the convertible bonds be listed and traded after subscription?

Generally speaking, convertible bonds will be listed within one month after the lottery. Convertible bonds are a kind of common bonds issued by listed companies to the public for financing. They have the dual attributes of stocks and bonds. Like the subscription of new shares, investors can't sell immediately after winning the lottery, but only after listing.

Investors can check the listing date of convertible bonds through the following channels:

1, official website, a listed company. Generally speaking, listed companies will release the specific time of listing of convertible bonds three days before listing, and investors can obtain it through it.

2, stock software query, the steps are as follows: log in to the computer version of the stock trading software; Click the bond option at the top of the home page; Enter the interface, and then click the convertible bond option below; Then click on the new bond issue at the top left, and the listed convertible bonds and issued convertible bonds will be displayed.

In addition, some securities companies will notify investors by SMS before the convertible bonds are listed on the same day.

1. Subscription refers to the behavior of investors applying to purchase fund shares during the existence of the fund after its establishment and during the subscription opening period. After the fund is closed, if you apply to buy an open-end fund, it is customarily called fund subscription to distinguish it from subscription during the issuance period. The subscription of the fund is to buy. Listed closed-end funds are bought in the same way as ordinary stocks. Open-end fund is the number you want to buy, divided by the net value of the fund on the day of purchase, to get the number of units to buy.

2. Subscription fee refers to the handling fee paid by investors when they purchase fund shares from fund managers during the fund's existence. China's "Pilot Measures for Securities Funds of Open-end Investment Funds" stipulates that open-end funds can charge subscription fees, but the subscription rate shall not exceed 5% of the subscription amount. The subscription rate is about 1.5%, and there are corresponding discounts with the subscription amount. Fund subscription rate refers to the proportion of expenses that investors need to pay to purchase fund shares. When investors subscribe for different funds, the subscription rate may be different due to the size of the subscription amount. Here, calculate the maximum rate.