区别就是 累计净值 = 单位净值 + 分红 累计净值 代表 基金的业绩,从设立开始到现在(包括分红) 单位净值 是实际交易用的值 分红后的值...
Posted by windtear on September 20, 2007 7:12 PM
If you use an RSS reader, you can subscribe to a feed of all future entries tagged '净值'. [What is this?]
Subscribe to feed
Other tags used on this blog: