NAV (Net Asset Value)
The per-unit value of a fund or ETF, calculated by dividing the total net assets (securities minus liabilities) by the number of units outstanding; the price at which investors buy into or redeem from open-ended funds.
The per-unit value of a fund or ETF, calculated by dividing the total net assets (securities minus liabilities) by the number of units outstanding; the price at which investors buy into or redeem from open-ended funds.