Dongying Bank Ruiying Wealth Management enjoys the daily redemption time.

For the "Enjoy Every Day" series of wealth management products, the amount purchased by customers after September 29th, 20265438 15 and before September 30th, 20265438 15, the income is calculated from June 8th, 202 10/0; For the amount subscribed after September 30, 20265438 15 and before October 8, 20265438 10/5, the income shall be calculated from 20021year1October 9. For the share that customers apply for redemption after September 29th1year and before September 30th 15, the redemption fund will be redeemed at 8: 00-1year1October 8th, 2002. For the share applied for redemption after September 30th, 20265438 15 and before September 8th, 20265438 15, the redemption fund will be credited at 8: 00-10: 00 on September 9th, 20265438, and Please plan your funds in advance.