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.

from Banking-Banking/Finance-Industry-Economic Times https://ift.tt/MC6ORJX
via IFTTT

Comments

Popular posts from this blog

RBI cancels licence of Rajasthan-based Sumerpur Mercantile Urban Coop Bank