题目内容
(请给出正确答案)
[单选题]
博道嘉泰回报混合基金成立于2019年12月19日,成立至今净值增长率()
A.53.02%
B.51.61%
C.24.43%
答案
B、51.61%
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A.53.02%
B.51.61%
C.24.43%
B、51.61%
A.79.97%,一
B.59.97%,一
C.79.97%,二
D.59.97%,二
A.②③④
B.①③④
C.①②③④
A.13.28%,81%;19.12%,90%
B.22.35%,84%;48.16%,100%
C.17.64%,94.12%,35.93%,100%
D.24.62%,96%;57.94,100%
A.2015;65.5%;62.60%;58.90%
B.2016;65.5%;62.60%;58.90%
C.2015;62.60%;58.90%;65.5%
A.234%,3.83%
B.334%,13.83%
C.234%,13.83%
D.334%,3.83%