Sunday, August 28, 2011

Mutual Fund NAV

NAV better known as Net Asset Value is a measuring unit for schemes in mutual fund terminology. Getting specific it is value of one unit of a scheme at that particular point. With all the overheads taken into account its the liquidation value of the scheme if one way to sell. Mutual Fund NAV helps investors/ buyers to sell or buy basis the NAV of the scheme. The higher the NAV the bigger the returns.

read more


No comments:

Post a Comment