Tuesday 15 October 2019

How is NAV prices are calculated in this mutual fund software for distributors ?




The NAV prices are calculated internally or can be imported if required. These can be set to a fixed date and time within this mutual fund software for distributors , calculated ad hoc or over variable and time periods defined by advisor or investor or software user. For more information visit @- https://www.redvisiontech.com/

No comments:

Post a Comment