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Question 583 - CTFA discussion

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The approximate per-share NAV plus any fees the fund imposes is the price:

A.
That investors pay to purchase mutual fund
Answers
A.
That investors pay to purchase mutual fund
B.
That investors receive on redemptions
Answers
B.
That investors receive on redemptions
C.
Per share NAV
Answers
C.
Per share NAV
D.
All of these
Answers
D.
All of these
Suggested answer: A
asked 16/09/2024
Rebekah Midkiff
34 questions
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