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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