理财份额净值在开放日结束后 2 个工作日内公告. 遇特殊情况,理财产品管理人可以适当延迟计算并进行公告。
Appears in 13 contracts
Sources: Investment Agreement, Investment Agreement, Investment Agreement
理财份额净值在开放日结束后 2 个工作日内公告. 遇特殊情况,理财产品管理人可以适当延迟计算并进行公告。
Appears in 13 contracts
Sources: Investment Agreement, Investment Agreement, Investment Agreement