Fund performance is calculated on the basis of NAV-to-NAV in HK $ with dividend reinvested.

  • 基金表现是以港元的资产净值对资产净值,股息作滚存投资计算.

  • 互联网摘选 2025-01-19 09:49:33

    • 相关例句
    精确
    • 模糊
    • 词首
    • 词尾
    • 词义
    • 例句