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The Ryan Mutual Fund had a Net Asset Value of $24.50 on January 1, 2023. On December 31, 2023 the NAV was $24.60. The fund
The Ryan Mutual Fund had a Net Asset Value of $24.50 on January 1, 2023. On December 31, 2023 the NAV was $24.60. The fund paid a dividend of $2.20 on December 31, 2023. What is the rate of return to an investor in the fund
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