Difference between revisions of "ETF"

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[[Liquidity]]
 
[[Liquidity]]
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Settlement Period 2 business days (trade date + 2)

Revision as of 06:58, 9 May 2020

wikipedia:Exchange-traded fund (1993)


NAV is calculated at 4 p.m. ET monday through friday


Liquidity

Settlement Period 2 business days (trade date + 2)

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