Net Asset Value (NAV)

Net Asset Value (NAV)
A fund’s investments when expressed in terms of total value. For mutual funds, NAV per unit or share is the market price for the fund that will be subject to charges, if any, at sales. In closed end funds, NAV may be vastly different from market price at any given time.

Related posts:

  1. Mutual Fund
  2. Load Fund
  3. Net Current Asset Value per Share
  4. Net Asset Value per Share (NAVPS)
  5. Asset Stripping

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