淨值的問題~~~! - 基金
By Rebecca
at 2007-09-20T00:33
at 2007-09-20T00:33
Table of Contents
我在JF天然資源投了單筆~~!
下單的那天是15號...結果今天終於申購成功了
我在國泰網銀上看基金的淨值是19.25,日期上是寫9月18號
不過我去基智網上看淨值卻是19.35...日期一樣是18號
同樣的基金淨值怎麼會不一樣,還是國泰網銀打錯???? 不懂
麻煩各位大大解惑了 感恩^^ ~~
--
Tags:
基金
All Comments
By Sarah
at 2007-09-20T13:29
at 2007-09-20T13:29
By Edwina
at 2007-09-22T14:49
at 2007-09-22T14:49
By Carol
at 2007-09-24T05:41
at 2007-09-24T05:41
By John
at 2007-09-24T23:30
at 2007-09-24T23:30
By Andy
at 2007-09-29T08:26
at 2007-09-29T08:26
By Elvira
at 2007-09-30T06:49
at 2007-09-30T06:49
By Aaliyah
at 2007-09-30T12:51
at 2007-09-30T12:51
Related Posts
報酬率的問題...
By Aaliyah
at 2007-09-19T23:40
at 2007-09-19T23:40
請問玉山銀行所謂的教師優惠
By Oscar
at 2007-09-19T23:36
at 2007-09-19T23:36
請問玉山銀行所謂的教師優惠
By Hamiltion
at 2007-09-19T22:30
at 2007-09-19T22:30
華頓全球新星股票基金
By Skylar Davis
at 2007-09-19T22:17
at 2007-09-19T22:17
請問我手頭的基金
By Lily
at 2007-09-19T21:30
at 2007-09-19T21:30