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$BGF World Technology Fund (LU1852331112.MF)$ why is the fun...

$BGF World Technology Fund (LU1852331112.MF)$ why is the fund NAV released on 4am sg time before us market closed? abit confused about the NAV cauculation.
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  • Moomoo Buddy : NAV refers to the "per share" price of a fund, similar to the "share price" of a stock. It is usually updated once per
    fund trading day. There is no fixed time for the update of the NAV, it depends on the  funds company, please follow the actual update on fund tab. Thank you.