What is NAV? | Net Asset Value Explained by Yadnya

Описание к видео What is NAV? | Net Asset Value Explained by Yadnya

#mutualfunds #mutualfundsahihai #investyadnya #yia

Net asset value (NAV) is a mutual fund's price per share. It is calculated by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding.

Find us on Social Media and stay connected:
Facebook Page - https://www.facebook.com/yadnyaacadem...
Facebook Group - https://goo.gl/y57Qcr
Twitter -   / investyadnya  

Комментарии

Информация по комментариям в разработке