RE:RE:DGS unit nav to Jan 22= approx; $15.28Brompton updates the NAV only once a week - every Friday morning. So the values you are seeing are dated. Dividends are generally accounted for on the website a week after the ex-dividend date.
oldbrit34 wrote: MM as Brompton reports the NAV at the 22nd to be $15.12 when your calculations give it $15.28 does this mean Brompton has already taken any month end payout into account ?......thanks.