A mutual fund had NAV per share of \$19.00 on January 1, 2009. On December 31 of the same year the fund's NAV was \$19.14. Income distributions were \$0.57 and the fund had capital gain dist
Giải thích
Chọn đáp án E
Giải thích: r = (19.14-19.00+0.57+1.12)/19