NAV, or Net Asset Value, is a key term in mutual funds that represents the per-share value of the fund. It is calculated by subtracting the total liabilities of the fund from its total assets and then dividing by the number of outstanding shares. Essentially, NAV reflects the market value of each share of the mutual fund at the end of the trading day.
NAV, or Net Asset Value, is a key term in mutual funds that represents the per-share value of the fund. It is calculated by subtracting the total liabilities of the fund from its total assets and then dividing by the number of outstanding shares. Essentially, NAV reflects the market value of each share of the mutual fund at the end of the trading day.