Examlex
Match the equations with their graphs.
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NAV
Net Asset Value (NAV) represents the per-share market value of all the securities held by a mutual fund, ETF, or similar investment vehicle, calculated by subtracting the fund's liabilities from its assets and dividing by the number of shares outstanding.
Income Distributions
Payments made to investors from the income generated by the assets within a fund or investment, such as dividends or interest payments.
Capital Gain Distributions
Payments made to investors of profits from the sale of securities within a portfolio, often associated with mutual funds.
Rate of Return
The gain or loss on an investment over a specified time period, expressed as a percentage of the investment's initial cost.
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