貨幣基金凈值指標公式是什么
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貨幣基金的凈值永遠保持在1元?
Understanding Net Asset Value (NAV) in Money Market FundsIn the realm of finance, particularly in the domain of mutual funds and exchangetraded funds (ETFs), Net Asset Value (NAV) is a critical metric. NAV represents the pershare value of a fund's assets minu...