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Defining Net asset value (NAV) of fund...... - general investment

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Old 09-24-2010, 05:50 AM
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Join Date: Jun 2010
Location: India
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Default Defining Net asset value (NAV) of fund......

The price or value of one unit of a fund. It is calculated by summing the current market values of all securities held by the fund, adding in cash and any accrued income, then subtracting liabilities and dividing the result by the number of units outstanding. Most open-ended fund companies compute NAVs once a day based on closing market prices.
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