净值增长率指基金在某一特定日的净资产价值(NetAeestsValue;NAV)=(基金当日总资产-基金当日总负债)/基金发行总单位。
【阅读小贴士】净值增长率(Net Worth Growth):指的是基金在某一段时期内(如1年内)资产净值的增长率,你可以用它来评估基金在某一时期内的业绩表现,在计算基金净值增长率时,...
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结果显示基金市场存在先动优势,即基金设立时间越早,平均净值增长率越高。
The findings show that there really is a first-mover advantage in funds market-the earlier a fund is set up , the higher the average growth rate of net asset value is.
开放式基金净值也出现迅猛增长,平均涨幅达到115.61%,尤其指数型基金异军突起,年内平均净值增长率达到131.25%,居于同期各类基金收益榜首。
Furthermore, NAV of open-end funds also had a radical rise with its increase of 115.61% on average, especially in which index funds had 131.25% increases on average by the top of all kinds of funds.
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