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Understanding NAV Calculation in Funds by aman khatri is a document available to read on EtoBox.

What is Understanding NAV Calculation in Funds about?

NAV (Net Asset Value) is calculated by dividing the net assets of a scheme by the number of units outstanding, taking into account various financial elements. The calculation occurs daily, with the NAV required to be posted on AMFI

Author
aman khatri
Language
EN