RE:RE:FFN unit nav to June 14 = approx; $15.40Teddyboy11 wrote: Always appreciate your posts mouserman. Can you confirm that todays NAV will be used to determine this months Div payout ?
I cant confirm that .. as Quadravest has been known to use different dates for some of the split funds.. but in all the time i have been trading and following these, they generallly use the 15th of the month unless it lands on a weekend. In most cases they use the last trading day before the 15th.
The way this market is trending, i suspect they will definitely use friday the 14th close.