Open-end fund

PrepNuggets

A type of mutual fund where new shares (units) are issued when an investor buys in, and redeemed when an investor sells, usually on a daily basis. The price at which a fund redeems and sells the shares is based on the net asset value of the fund’s portfolio expressed on a per share basis. Investors generally buy and sell open-end funds by trading with the mutual fund manager.

Compare: Closed-end fund