单项选择题
A.1000 B.5000 C.10000 D.100000
A.8% B.10% C.12% D.16%
A、开放式基金每个交易日的次日进行估算 B、封闭式基金每周进行一次估值 C、复核无误的基金份额净值由基金托管人对外公布 D、开放式基金每个交易日进行估值
A、0.5%,0.1% B、1%,0.16% C、0.6%,0.13% D、0.8%,0.14%
微信扫一扫,加关注免费搜题