Pages

Search This Website

Saturday, 11 November 2017

EDUCATIONAL NEWS UPDATES DATE:-11/11/2017.

EDUCATIONAL NEWS UPDATES DATE:-11/11/2017.

continuously or buys them back from the shareholder (redeems them), dealing directly with the investor (no-load funds) or through broker-dealers, who receive the sales load of a buy or sell order. The purchase price is the net asset value (NAV) at the end of the trading day, which is the total assets of the fund minus its liabilities divided by the number of shares outstanding for that day











For Best View Please Open This Website In CHROME / OPERA Browser
Join Our Whatsapp Group to Get Latest Updates... : Click Here