41 Oa) Ob) Oc) Od) A mutual fund calculates its net asset value per unit as at 16:00 Eastern Time (ET) on each business
-
answerhappygod
- Site Admin
- Posts: 899604
- Joined: Mon Aug 02, 2021 8:13 am
41 Oa) Ob) Oc) Od) A mutual fund calculates its net asset value per unit as at 16:00 Eastern Time (ET) on each business
41 Oa) Ob) Oc) Od) A mutual fund calculates its net asset value per unit as at 16:00 Eastern Time (ET) on each business day. It receives a purchase order on Monday at 10:00. What is the trade date? Monday Tuesday Wednesday Thursday
Join a community of subject matter experts. Register for FREE to view solutions, replies, and use search function. Request answer by replying!