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Glossary term

NAV

Net Asset Value

🌍 UniversalReviewed Plain-English
Definition

What is NAV?

NAV is the per-unit price of a mutual fund, calculated daily after market close as (Assets − Liabilities) / units outstanding. Unlike stock prices, NAV is set once a day and does not fluctuate during trading hours. Your buy/sell price is the NAV of the next cut-off after you place the order.

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