Join our Telegram Channel to get more recent updates on generating backlinks - Join Telegram Now!

Categories



    What is Net Asset value (NAV)?


    Fri Feb 18 2022

    Source: What is Net Asset value (NAV)?

    The performance of a Mutual Fund's strategy is measured by its Net Asset Value (NAV). NAV stands for net asset value, which is the market value of the securities held by the scheme. Mutual funds put the money they collect from investors into the stock market.



    Vote




    Mbucks

    Bookmarked by

    Mbucks

    Comment Section



      Recent Comments