The listing date is typically a number of days once the fund inception date. For that reason, NAV is used to calculate market returns ahead of the listing date. During the 1990s, lots of people considered they had been making smart “investments” in Beanie Toddlers and McDonald’s toys. But https://financefeeds.com/%f0%9f%a4%af-xrp-solana-are-trapped-in-the-sec-maze-agent-ai-moves-beyond-regulations/