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What is NAV?

NAV
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What is NAV?

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This is the main performance indicator of a fund, especially when viewed in terms of its appreciation over time. The NAV breaks down the performance of a scheme in terms of the market value of every outstanding unit of the scheme. A fund’s NAV is calculated as total assets minus all expenses and divided by the number of its total outstanding units.

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NAV or Net Asset Value of the fund is the cumulative market value of the assets of the fund net of its liabilities. NAV per unit is simply the net value of assets divided by the number of units outstanding. Buying and selling into funds is done on the basis of NAV-related prices.

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