Series 6 - Investment Company And Variable Contracts Products Representative Exam
Preview Mode
An investor sells shares of a mutual fund at the
NAV
A
POP
B
Bid
C
Offer
D
Explanations
Mutual funds are the sold at the NAV (Net Asset Value). The NAV is published once per day after 4PM Eastern Time.
Pricing
Basic
Part of the questions for each course
-
- Course
- Questions
-
- SIE
- 20 of 150
-
- Series 6
- 30 of 500
-
- Series 7
- 50 of 625