Browse Section 7: Analysis of Managed and Structured Products

17.3 Pricing Mutual Fund Units

In this section

  • 17.3.1 Net Asset Value (NAV)
    Understanding the calculation, significance, and application of the Net Asset Value in mutual funds.
  • 17.3.2 Pricing Mechanisms
    An in-depth exploration of the mechanisms for pricing mutual fund units, focusing on the methodology for open-end fund pricing and the impact of market movements on pricing.
Thursday, September 12, 2024