ETFs

NAV

Net asset value (NAV) is the per-share value of a fund's assets minus liabilities. For mutual funds, NAV is calculated once daily. ETFs trade at prices that can differ from NAV; the difference is usually small for liquid ETFs.

Example

A fund with $100M assets and 10M shares has $10 NAV per share.

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NAV — Definition & Example | Investors Lab | Investors Lab