Answer:
NAV=$63.114615
The NAV of the fund=$63.114615
Explanation:
Stock Shares stock Price
A 13,500 $83
B 33,000 $16
C 20,000 $59
D 71,000 $21
Total Assets= ( 13,500*$83)+( 33,000*$16)+( 20,000*$59)+(71,000*$21)
Total Assets= $4,319,500
Formula for NAv:
NAV=[tex]\frac{Total Assets-\ Liabilities}{Total/ Shares}[/tex]
NAV=[tex]\frac{\$4,319,500-\$215,000}{65000}[/tex]
NAV=$63.114615
The NAV of the fund=$63.114615