FN
Asset Classes
Entities
List of All Entities
Entity Types
Events
List of All Events
Event Types
Factors
Industries
Locations
List of All Locations
Location Types
People
List of All People
List of all Positions
Publications
List of All Publications
Publication Types
Strategies
Terms
Theories
Tilts
Wisdom
Terms
Home
Terms
Net Asset Value
Net Asset Value
Abbreviation
NAV
A funds Net Asset Value (NAV) equals the amount of cash per share that one would receive they if they sold all the funds current assets at market value and paid off all liabilites
More about Net Asset Value
Notes
The
price
of a
fund
can
trade
at, below or above NAV