DIFM Logo - Rectangle

Mutual Funds

NAV In Mutual Funds

What Is The Meaning Of NAV In Mutual Funds? – 2024 Update

Net Asset Value – NAV in mutual funds is a fundamental concept in the world of mutual funds, serving as a crucial indicator of a fund’s performance. It represents the per-unit market value of a mutual fund scheme. Essentially, NAV in mutual funds is the price at which investors buy or sell fund shares. 

Looking To Build Your Career in Digital Marketing, Accounting or Stock Market?

Let Us Call You