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NAV for an open - end fund is calculated by: a . Dividing the assets of the fund by the nun b . Dividing the

NAV for an open-end fund is calculated by:
a. Dividing the assets of the fund by the nun
b. Dividing the net assets of the fund by the
c. Dividing the net assets of the fund by the
d. Dividing the assets of the fund by the num
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