What is the Net Asset Value (NAV) of a mutual fund?

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What is the Net Asset Value (NAV) of a mutual fund?

The Net Asset Value (NAV) of a mutual fund is the per-share value of the fund's assets minus its liabilities. It represents the price at which investors can buy or sell shares of the mutual fund. The NAV is calculated by dividing the total value of the fund's assets by the number of outstanding shares.