Net asset value
There are two main meanings.
1 The market value of a unit
in a unit trust or mutual
fund. Most funds calculate the net asset value (nav) at the
close of trading each day by adding
the market value of all the
securities owned, plus any other assets (such as cash on
deposit), and dividing by the total
number of units outstand-
ing. Since open-ended unit trusts or mutual funds issue or
redeem
new units according to demand, this figure may vary
from day to day. With unit trusts or
mutual funds that carry no
load (that is, charge no upfront fee), the nav and offer price for
each unit is usually the same.
Do'stlaringiz bilan baham: