The presented statement indicates that the fund's NAV is $56.4 and that the discount as a percentage of NAV is $6.02
A portfolio is a gathering of funds put aside toward a specific objective. To produce returns for its investors, funds frequently invest and use expert management. Retirement funds, actions that benefit, endowments, and endowments are a few examples of prevalent sorts of funds.
Total value of portfolio = $ 285 million - $ 3 million = $ 282 million
Total no of outstanding shares = 5 million
a). NAV =Total value of portfolio/no of shares outstanding
NAV = $ 282/5 = $ 56.4
b). Discount = sale value – NAV/NAV*100
=53-56.4/56.4*100= $ 6.02
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