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nav of private equity fund
cfai textbook, volume 5, take a look at the example on page 76, reading 49 , private equity valuation.
i do not get how do we calculate column (5) NAV before distributions ?
to me it would make sense to take paid in capital, add operating results and subtract management fees so (5) = (2) - (3) + (4). but only the first row for year 2001 does that:
44 = 50 -1 + (-5). i do not get how do we get 42.7 in the second row, and the rest of the rows. thank you in advance for any clarifications |
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