NAV as it relates to HEXHow is the NAV of HEX impacted by the call option stratagy used with these Horizon ETF"s and is the NAV vs SP a consideration?
There was a comment a while back that Horizon "adjusts" in order to keep NAV close to SP.??? How?
Is it possible to track the NAV? or at least find it weekly.
I have always considered NAV eg when purchasing closed end funds as part of my DD, but cant figure out if applicable or meaningful with these products. HEE,X.P.and F.
Thanks