Math, asked by maharojagara, 3 days ago

Net assets value is calculated and published daily for

(a) Open Ended Mutual Funds (b) Closed Ended Mutual Funds (c) Open Ended Mutual Funds and Closed Ended Mutual Funds (d) None of these​

Answers

Answered by anitayadav3613729
0

Answer ⤵️

Net assets value is calculated and published daily for (a) Open Ended Mutual Funds.

Step-by-step explanation:

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