The Profitability Fund had NAV per share of \$17.50 on January 1, 2009. On December 31 of the same year the fund's NAV was \$19.47. Income distributions were \$0.75 and the fund had capital
Giải thích
Chọn đáp án A
Giải thích: R = (\$19.47 - 17.50 + .75 + 1.00)/\$17.50 = 21.26%.