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3a. Select and extract the data for second (NEW) equity mutual fund in a different category. Report the name, fund type, NAV, Fees, Total return

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3a. Select and extract the data for second (NEW) equity mutual fund in a different category. Report the name, fund type, NAV, Fees, Total return YTD, Excess Return, return performance 1 week and 1yr., beta, alpha, of the fund versus the index and peers values. b. Report the 6 elements under Dividend statistics from the Performance tab. c. Identify the Top Holdings by name (top ten if available) and provide their \%age they make up of the mutual fund portfolio. d. Collect the data (list companies held) from the Asset allocation blocks and their \%age. 4a. Select and extract the data for second (NEW) equity ETF in the same category as the 2nd NEW mutual fund. Report the name, fund type, NAV, Fees, Total return YTD, Excess Return, return performance 1 week and 1 yr., beta, alpha, of the fund versus the index and peers values. b. Report the 6 elements under Dividend statistics from the Performance tab. c. Identify the Top Holdings by name (top ten if available) and provide their \%age they make up of the mutual fund portfolio. d. Collect the data (list companies held) from the Asset allocation blocks and their % age. 3a. Select and extract the data for second (NEW) equity mutual fund in a different category. Report the name, fund type, NAV, Fees, Total return YTD, Excess Return, return performance 1 week and 1yr., beta, alpha, of the fund versus the index and peers values. b. Report the 6 elements under Dividend statistics from the Performance tab. c. Identify the Top Holdings by name (top ten if available) and provide their \%age they make up of the mutual fund portfolio. d. Collect the data (list companies held) from the Asset allocation blocks and their \%age. 4a. Select and extract the data for second (NEW) equity ETF in the same category as the 2nd NEW mutual fund. Report the name, fund type, NAV, Fees, Total return YTD, Excess Return, return performance 1 week and 1 yr., beta, alpha, of the fund versus the index and peers values. b. Report the 6 elements under Dividend statistics from the Performance tab. c. Identify the Top Holdings by name (top ten if available) and provide their \%age they make up of the mutual fund portfolio. d. Collect the data (list companies held) from the Asset allocation blocks and their % age

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