记同学2020-07-13 23:04:39
老师,R19第8题里这个reason3是不是因为mutual fund不是全天交易所以错了.mutual fund是按收盘价的NAV交易,而ETF是全天交易.
回答(1)
Chris Lan2020-07-14 09:46:19
同学我好
是这个原因。mutual fund要在交易日结束后才能算出NAV,然后基于NAV进行交易。
Mutual funds are pooled investment vehicles whose shares or units represent a proportional share in the ownership of the assets in an underlying portfolio. In the case of open-ended mutual funds, new shares may be redeemed or issued at the fund’s net asset value (NAV) established at the end of each trading day based on the fund’s valuation of all existing assets minus liabilities, divided by the total number of shares outstanding. Mutual fund purchases or sales received after a pre-specified cutoff time take place at the NAV on the following business day.
- 评论(0)
- 追问(0)


评论
0/1000
追答
0/1000
+上传图片