If a mutual fund is set up as a corporation, how much of income generated by the fund flows through directly to the shareholders?
Who generally executes portfolio strategy within a buy-side firm?
What do a hedge fund’s liquidity dates indicate?
SK AI-Equity Mutual Fund reported a year-end NAVPS of $25.50, a beginning of the year NAVPS of $21.50, and a dividend yield of 4.34%. What was the performance of the SK fund assuming reinvestment of all dividends and that no additions or withdrawals were made?