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All About NAV - Mutual Fund Net Asset Value

Find out how you can calculate mutual fund NAV and why it matters. Bonus: we’ve debunked two popular myths regarding NAV. Come check it out!
October 24, 2024
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Net Asset Value or Net Asset Worth is the valuation of a company’s assets minus its liabilities. The net asset value of a mutual fund represents the worth of a fund by calculating its market value per share. 

It is indicative of a fund’s popularity and its book value. In this blog, we will look at what is NAV, how it is calculated, and why it is important for investors.

What Is NAV?

In simple terms, NAV or the Net Asset Value of a company or mutual funds is the value of its total assets minus its total liabilities. It is represented as the per-share price of a fund. Think of mutual fund NAV as the equivalent of stock price.

Every AMC must disclose the NAV of its mutual funds regularly. In fact, this rule is applicable for mutual funds in India and countries like the USA as well.

For many, NAV isn't a big deal because mutual funds allow you to buy fractional units. But to a savvy investor who's looking to capitalize on falling markets, keeping up with mutual fund NAVs could be crucial.

The reason is simple. If the market falls, it's safe to assume that mutual fund NAVs will also fall. This means that investors can get more units of the fund if they choose to invest. Let's look at how this interesting mutual fund NAV is calculated.

What Is The Net Asset Value Formula?

The formula for calcul

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