NAV Full Form — Net Asset Value
NAV full form is Net Asset Value. The per-unit price of a mutual fund calculated daily by the fund house. NAV is the total fund value divided by number of units outstanding. Determines how
TL;DR: NAV full form is Net Asset Value. The per-unit price of a mutual fund calculated daily by the fund house. NAV is the total fund value divided by numbe…
By Syllab.in · Updated