SIE  Securities Industry Essentials Exam
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When a customer wants to sell their mutual fund, the redemption value is based on
The most recent POP price
A
The next computed POP price
B
The most recent closing NAV price
C
The next computed NAV price
D
Explanations
When a customer wants to redeem their mutual fund, they will receive the next computed NAV price after the redemption order is sent.
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