Browsing: nav mutual funds

NAV in mutual funds stands for Net Asset Value. It is the per-unit price of a mutual fund scheme and plays a key role in investment and redemption decisions. If you’re planning to start or already investing in mutual funds, understanding NAV is essential for making informed choices. Every mutual fund holds a basket of assets like stocks, bonds, and cash. The NAV reflects the total market value of these assets minus any liabilities, divided by the number of outstanding units.Check Out: Entry Load vs Exit Load in Mutual Funds: What Every Investor Should Know Why Does NAV Matter? NAV…

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