I'm trying to decide on the Net Asset Value (NAV) for my investment. Should I go for a high NAV or a low one? What are the implications of each choice on my overall investment strategy and potential returns?
5 answers
Alessandra
Tue Jan 07 2025
The NAV of a fund is typically calculated after
market hours.
BusanBeauty
Tue Jan 07 2025
This process is a standard procedure in the financial industry.
Daniele
Tue Jan 07 2025
A fund's NAV reflects its performance for the day.
Federica
Tue Jan 07 2025
When the NAV is higher, it signifies that the fund has made a profit.
HallyuHeroLegendaryStarShine
Mon Jan 06 2025
Conversely, a lower NAV indicates that the fund has experienced a loss.