#how to calculate inav
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truedatafinancialpvtltd · 6 months ago
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Indicative Net Asset Value (iNAV) in Mutual Funds
NAV is an intraday, real-time estimate of the Net Asset Value (NAV) of an Exchange Traded Fund (ETF). iNAV is calculated at the end of the day and is based on the assets and liabilities of the fund.
iNAV - What is it and why is it important?
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