Understanding Net Asset Value of Mutual Funds

Understanding Net Asset Value of Mutual Funds

0 Views | 30 Oct, 2024

Net Asset Value (NAV) is crucial for investors to assess the value of a mutual fund. NAV represents the per-unit value, calculated by dividing the total value of assets minus liabilities by the total outstanding units.

Show More Show Less

You are Here

  1. Home
  2. Videos
  3. Understanding net asset value of mutual funds