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What is Understanding Net Asset Value Method about?
The Net Asset Value (NAV) method is a valuation approach that assesses a business based on its assets and liabilities, primarily using book values unless specified otherwise by tax regulations. Under Rule 11UA, the NAV method is applicable for valuing unlisted equity shares, with specific formulas for calculating asset values and liabilities, and distinguishing between cases under section 56(2)(viib) and others. This method is particularly relevant for asset-heavy companies, such as real estate and investme
- Author
- oussamaneffeti8
- Language
- EN