Thursday, February 16, 2023

Understanding NAV of Exchange Traded Funds

The net asset value (NAV) is the value of a mutual fund scheme on a particular day. You can ascertain the value of your investments by multiplying the NAV with your unit balance.

source https://economictimes.indiatimes.com/industry/banking/finance/banking/understanding-nav-of-exchange-traded-funds/articleshow/97973920.cms

No comments:

Post a Comment