A.O.5% B.1% C.1.5% D.2%
A.0.05%~0.15% B.0.15%~0.2% C.0.25%~0.5% D.0.5%~0.75%
A.基金資產(chǎn)凈值 B.基金份額凈值 C.基金份額參考凈值 D.基金份額累計凈值