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Understanding NAV in Mutual Funds: A Key Metric for Investment Decisions

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Net Asset Value (NAV) represents the value of a Mutual Fund (MF) scheme, calculated by subtracting liabilities from assets and dividing the result by the number of outstanding units. NAV serves as the price at which units of a scheme are bought and redeemed. https://www.hdfcfund.com/learn/blog/what-nav-how-it-calculated

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