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Keywords: Net asset value (NAV)
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Journal Articles
Journal of Investment Compliance (2020) 21 (2-3): 103–109.
Published: 04 December 2020
...David H. Roberts; Ettore A. Santucci; Mark Schonberger; Peter W. Lavigne Purpose Over 15 years ago Goodwin created the first open-ended, non-traded real estate investment trust (REIT) with regular sales and redemptions at net asset value (“NAV REIT”). While NAV REITs are now well established...
Journal Articles
Journal of Investment Compliance (2015) 16 (4): 47–54.
Published: 02 November 2015
... the 1940 Act (Amendments). The Amendments (i) require “institutional” money funds to operate with a floating net asset value (NAV), rounded to the fourth decimal place (e.g. $1.0000) and (ii) permit (and, under certain circumstances, require) all money funds to impose a “liquidity fee” (up to 2 per cent...
Journal Articles
Journal of Investment Compliance (2015) 16 (1): 25–39.
Published: 05 May 2015
... recommendations. Details the amendments to Rule 2a-7, including the authorization to impose liquidity fees and redemption gates, the floating net asset value (NAV) requirement, the impact of the amendments on unregistered money funds operating under Rule 12d1-1, guidance on fund valuation methods, disclosure...

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