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Question A mutual fund had NAV per share of $16.75 on January 1, 2019. On December 31 of the same year the fund's rate
Question " A mutual fund had NAV per share of $16.75 on January 1, 2019. On December 31 of the same year the fund's rate of return for the year was 26.6%. Income distributions were $1.79 and the fund ...
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