NAV

    Net Asset Value

    Mutual Funds

    The per-unit value of a mutual fund scheme, calculated by dividing total value of all securities by number of units.

    Formula

    NAV = (Total Assets - Total Liabilities) / Number of Units

    Why it matters

    NAV changes daily based on market movements. Don't compare NAVs across funds, higher NAV doesn't mean better. Focus on returns.

    Indian example

    Related terms