A mutual fund with a year-end net asset value nav 1500 per
A mutual fund with a year-end net asset value (NAV) = $15.00 per share began the year with a NAV = $16.00 and returned 6% to its investors over the year. How is this possible?
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a mutual fund with a year-end net asset value nav 1500 per share began the year with a nav 1600 and returned 6 to its
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