The issuance of new mutual-fund shares was capped in December, but the restrictions ended when share prices dropped in February.
去年12月,监管层对新发行的开放式基金设立了上限,但是在2月份的大跌后上限被取消。
The market value of one share of a mutual fund; NAV is calculated only once each day after market close.
一只股票或互惠基金的市场价格;资产净值只在每天巿场收巿后计算一次。
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