Accueil > Term: Net asset value (NAV)
Net asset value (NAV)
Net Asset Value represents the market value of a single share of an open end mutual fund. It is calculated by subtracting the fund's liabilities from its assets, and then dividing the result by the number of shares outstanding.
- Partie du discours : noun
- Secteur d’activité/Domaine : Services financiers
- Catégorie : Fonds
- Company: Merrill Lynch
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Créateur
- Harry8L
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(London, United Kingdom)