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基金托管账户与“基金清算账户”间的资金结算遵循“全额清算、净额交收”的原则,每日(T 日:资金交收日,下同)按照托管账户应收资金(T-1 日直销申购申请金额与 T-2 日代销申购申请金额与 T-2 日基金转换入申请金额之和)与应付资金(T-2 日赎回申请金额与 T-2 日基金转换出申请金额之和)的差额来确定托管账户净应收额或净应付额,以此确定资金交收额。