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Net Asset Value (NAV)
Description
Net Asset Value (NAV) is a metric used to determine the value per share of an investment entity, such as a mutual fund or hedge fund. It is calculated using the formula:
NAV = (Total Asset – Total Liabilities) / Total Outstanding Shares
This calculation reflects the market value of the fund’s underlying investments, providing investors with a snapshot of the value of each share based on the net assets of the fund.

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Access markets including forex, commodities, indices, shares/stocks and more, at low cost.
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