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Everything about zigzag airdrop

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The listing day is typically one or more times following the fund inception date. As a result, NAV is used to compute market returns just before the listing date. This last component is critical: the fact that every one of the funds are pooled together within a bank account https://financefeeds.com/pintu-reports-150-yoy-growth-in-trading-volume-driven-by-ai-and-meme-token-surge/

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