Aditya Birla Capital

MFGlossary

N For Net Asset Value

A Net Asset Value (NAV) is the sum total of the market value of all the assets of the portfolio including cash, less the value of liabilities, divided by the total number of units outstanding. It's basically a fair value of a single share of a fund.

Stay updated!

Don’t miss out on any updates by subscribing to our newsletter

Event

Join us to invest in knowledge and SIP your way to success.

You may also like