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What is an open-ended fund?

01 September 2024

An open-ended fund is a type of mutual fund that has no fixed number of shares. It issues new shares to investors when they buy and cancels shares when investors sell, ensuring liquidity and flexibility. The fund's assets under management (AUM) can fluctuate daily because of the continuous issuance and redemption of shares, based on investor demand. The value of an open-ended fund's shares is determined by its net asset value (NAV), which is calculated at the end of each trading day based on the total market value of the fund's assets divided by the number of shares outstanding. This structure allows investors to enter and exit the fund at the NAV, minus any fees or charges imposed by the fund.

The importance of open-ended funds lies in their liquidity and flexibility, making them an attractive option for many investors. They provide an easy way for individuals to invest in diversified portfolios managed by professional investment managers. Because these funds can issue new shares, investors can generally buy into the fund at any time, providing a straightforward path to participate in the financial markets. Additionally, the daily calculation of NAV ensures that the share price reflects the current market value of the fund's assets, offering transparency and fairness in pricing.

However, the ability of open-ended funds to continually issue and redeem shares can also lead to challenges, especially in times of market stress. Large redemptions by investors can force fund managers to sell assets at inopportune times, potentially impacting the fund's performance and other investors. Moreover, the ongoing costs associated with managing the fund, including management fees and administrative expenses, can affect investors' returns.

 

 

This Trustnet Learn article was written with assistance from artificial intelligence (AI). For more information, please visit our AI Statement.

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