A、<p><span style="font-size:14px;font-family:宋体">当日基金资产净值</span></p>
B、<p><span style="font-size:14px;font-family:宋体">前一日基金资产净值</span></p>
C、<p><span style="font-size:14px;font-family:宋体">上月基金资产平均净值</span></p>
D、<p><span style="font-size:14px;font-family:宋体">当月基金资产平均净值</span></p>
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