FIN255 Foundations Of Financial Institutions And Markets

Foundations Of Financial Institutions And MarketsTU Board 2081

The net asset value (NAV) per share of Equity Fund at the beginning of the year was Rs 300. At the end of the year, its NAV was Rs 350. At year end, the fund paid out Rs 10 in income and capital…

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The net asset value (NAV) per share of Equity Fund at the beginning of the year was Rs 300. At the end of the year, its NAV was Rs 350. At year-end, the fund paid out Rs 10 in income and capital gains. What was the return on investment in the Equity Fund during the year?

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