I understand in order to receive today’s NAV I have to redeem before market hours close …and after market close NAV will be declared …lets say at about 9 pm …so there is no way to know the NAV before requesting redemption?
I understand in order to receive today’s NAV I have to redeem before market hours close …and after market close NAV will be declared …lets say at about 9 pm …so there is no way to know the NAV before requesting redemption?