A.1,0.1,10,1 B.1,0.1,1,0.1 C.0.1,0.01,10,1 D.0.1,0.01,1,0.1
A.基金規(guī)模 B.基金收益率 C.基金資產(chǎn)凈值 D.基金贖回率
A.客戶申請日期 B.銀行辦理開戶手續(xù)日期 C.中國人民銀行當(dāng)?shù)胤种C(jī)構(gòu)核準(zhǔn)日期 D.銀行與客戶商定日期