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11. What is NAV?

The net asset value (NAV) is the value of the fund's underlying securities. It is calculated at the end of the trading day. Any open-end fund buy or sell order received on that day is traded based on the net asset value calculated at the end of the day. A few funds calculate net asset value at more frequent intervals and process trades at those values.

NAV =
( Market value of investments
+
Unmortised initial offer expenses
+
Receivables
+
Accrued income
+
Other current assets
-
Payables
-
Accrued expenses
-
Other currenet liablities and provisions )
/
No of Units outstanding





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