A mutual fund that had a nav rs 20 at the beginning of the


A mutual fund that had a NAV Rs. 20 at the beginning of the month made income and capital gain distribution of Rs. 0.0375 and Rs. 0.03 per share respectively; during the month and then ended the month with a net asset value of Rs. 20.06. Calculate monthly return.

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Finance Basics: A mutual fund that had a nav rs 20 at the beginning of the
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