基金累计净值是指基金从开始以来的收益。
Net value of fund accumulative total is to point to fund from the accrual since beginning.
稳定资产的原值、累计折旧和净值,理卖正在会计报表中分别列示。
The original value, accumulated depreciation and net value of fixed assets shall be itemized and shown separately in financial statement.
稳定资产的原值、累计折旧和净值,理卖正在会计报表中分别列示。
The original value, accumulated depreciation and net value of fixed assets shall be itemized and shown separately in financial statement.
应用推荐