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The listing day is typically one or more times after the fund inception day. As a result, NAV is used to work out market returns just before the listing day. is investigating the best route concerning the doable boosting of funds. The company states that it could either Keep https://financefeeds.com/shiba-inu-price-prediction-whale-activity-signals-decline-in-q2-2025-but-this-ai-driven-meme-tokens-burn-mechanisms-will-drive-6439-roi/

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