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closeend fund question

The net asset value of a closedend mutual fund is $11.20, and the share price is $10.00. The discount or premium is closest to:
The answer is: 10.7% discount.
(SP  NAV) / NAV =
(10.00  11.20) / 11.20 = ?0.107
why is this a discount instead of premium? and why can’t I calculate as (NAVSP)/SP?
totally confused..someone help?? thx!

got it..thanks for explanation!

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