Hey guys,
Can someone please make this clear? From what i understanding trading NAV is the reporting NAV adjusted for liquidity. So why would answer C be incorrect?
Hey guys,
Can someone please make this clear? From what i understanding trading NAV is the reporting NAV adjusted for liquidity. So why would answer C be incorrect?
i think it probably means that the action of “incorporating a liquidity discount” is not aligned to the most generally accepted accounting standards