Home >Smart Learning >Investment Courses list
N
Net Asset Value (NAV)

 NAV represents the value of a unit in the scheme and is the main performance indicator for a mutual fund.

Read More
Net Assets

 This figure represents the fund's total asset base, net of fees and expenses.

Read More
Net Asset Value Per Unit

 The current market worth of a mutual fund share. Calculated daily by taking the funds total assets: securities, cash and any accrued earnings, deducting liabilities, and dividing the remainder by the number of units outstanding.

Read More