Net Asset Value (NAV)

IE-IFS Mutual Funds Free JAIIB Capsule 24 views Updated
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IE-IFS · Mutual Funds
The performance of a mutual fund scheme is tracked daily. What does the Net Asset Value (NAV) represent and how often must it be calculated and published?
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The performance of a mutual fund scheme is tracked daily. What does the Net Asset Value (NAV) represent and how often must it be calculated and published?

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This capsule covers Indian Economy & Indian Financial System, Mutual Funds. Members get the complete explanation plus every other premium capsule, mock test and PDF.

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