Closed ended funds were usually trading at _________ to NAV
A) Par
B) Premium
C) Discount
D) Free
Correct Answer:
Verified
Q10: If fund is assuming higher risk than
Q11: Graham's strategy recommends _% holding in debt
Q12: Expenses ratio is very important for _.
A)Debt
Q13: According to Bogle an investor's exposure to
Q14: Higher expenses ratios lead to _.
A)Yield sacrifices
B)Profit
C)Income
D)Wealth
Q16: If a single unit holder holds more
Q17: If opening units 10,000 Units subscribe 3000,
Q18: If opening units 25,000 ,Units subscribe 7000,
Q19: If opening units 1,25,000 Units subscribe 2,00,000,
Q20: NAV stands for
A)Net Application Value
B)Notional Assets Value
C)Net
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