What Is the NAV of a Mutual Fund?
NAV stands for Net Asset Value. The performance of a Mutual Fund scheme is donated by its NAV per unit.
NAV per unit is the market value of securities of a scheme divided by the total number of units of the scheme on a given date.
Did you find this helpful?
Still have questions?
Where can I check my Mutual Fund holdings? / Where can I check my MF holdings? / Where can I check my Mutual Fund Portfolio?
Why isn’t the NAV date updated in my Mutual Fund portfolio?
How do I transfer Mutual Funds from one broker to another?
How much time will it take for my MF order to reflect in Portfolio?
Open Demat Account