How did HYG continuously determine the NAV of the EFT during the volatile Dec 2015 period? What assumptions were made?
The spread between the bid / offer on HYG doesn't tell you whether HYG was selling at a discount or premium to NAV.
How did HYG continuously determine the NAV of the EFT during the volatile Dec 2015 period? What assumptions were made?
The spread between the bid / offer on HYG doesn't tell you whether HYG was selling at a discount or premium to NAV.