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NAV and IIV pricing for actively managed exchange traded funds

机译:积极管理的交易所买卖基金的资产净值和资产净值定价

摘要

An ETF pricing mechanism for use in managed Exchange Traded Fund (ETF) or other collective investment vehicle (CIV) that retains the confidentiality of the vehicle's assets. The method of pricing may comprise: selecting a security price for each portfolio security, wherein each selected security price is associated with a time offset within a pricing interval, and wherein the time offsets are not identical for all of the selected security prices; generating a plurality of partial price components based on the selected security prices; determining a intra-day indicative value (IIV) of a CIV share in response to the plurality of partial price components; and, publishing the determined IIV.
机译:用于托管交易所交易基金(ETF)或其他集体投资工具(CIV)的ETF定价机制,保留了该工具资产的机密性。定价方法可以包括:为每个投资组合证券选择一个证券价格,其中每个选择的证券价格与定价区间内的时间偏移量相关联,并且其中对于所有选择的证券价格而言时间偏移量都不相同;以及根据选择的证券价格产生多个部分价格成分;响应于所述多个部分价格成分,确定CIV份额的日内指示值(IIV);并且,发布确定的IIV。

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