m7w
Followers
Wednesday, November 16, 2011
翔龙基金<00820.HK>首10个月资产净值回报负16.95%
汇丰中国翔龙基金<00820.HK>公布,今年首10个月资产净值(扣除费用後)回报为负16.95%。截至10月底止,基金每单位资产净值8.23元,较10月31日收市价6.13元,折让25.5%。(sz/u)阿思达克财经新闻传真: 852 2186 8286电邮 ... 翔龙基金<00820.HK>首10个月资产净值回报负16.95%
No comments:
Post a Comment
Newer Post
Older Post
Home
Subscribe to:
Post Comments (Atom)
Popular Posts
No comments:
Post a Comment