Net Asset Value (NAV)

The per-share value of a fund or company calculated from its total assets minus liabilities.

Fundamental Analysis

Definition

NAV represents the per-share intrinsic value calculated by dividing net assets by shares outstanding. For mutual funds and ETFs, NAV is calculated daily. For closed-end funds, the market price can trade at a premium or discount to NAV. For REITs and holding companies, NAV analysis helps assess whether shares trade above or below the underlying asset value.

functions Formula

NAV = (Total Assets − Total Liabilities) / Shares Outstanding

lightbulb Example

A fund has $500M in assets, $10M in liabilities, and 20M shares. NAV = ($500M - $10M) / 20M = $24.50 per share.

verified_user Key Points

  • Mutual fund shares transact at NAV
  • Closed-end funds can trade at premium or discount to NAV
  • REIT NAV estimates underlying property values
  • NAV discount may indicate a buying opportunity

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