Net Asset Value (NAV) The NAV is the per-share market value of the mutual fund and is calculated by dividing the total value of all assets in the fund's portfolio by the number of outstanding shares. Investors buy or sell mutual fund shares at the NAV price. Liquidity Mutual funds offer...
The crux is that the German government insists that there are no set upper limits on reimbursement levels and there are no annual out-of-pocket deductibles higher than €5,000. Other issues involve how the insurance premiums are calculated. The present situation is that very few of the major...
When share transfers are in the name of the same person, there is no tax liability. Capital gains will be calculated from the date of original purchase and not the transfer date. If you transfer shares to your spouse or children and supported by a valid gift deed, there is no tax liabil...