How to calculate NAV for REITs?
I am trying to figure out how to calculate the Net Asset Value (NAV) specifically for Real Estate Investment Trusts (REITs). Could someone explain the process or formula to determine the NAV in this context?
Is High NAV good or low?
I'm trying to understand whether a high Net Asset Value (NAV) is considered good or bad. I've heard different views on this and would like to get a clearer understanding of how NAV affects mutual fund performance and investor returns.
How to calculate NAV formula?
I'm trying to understand how to calculate the Net Asset Value (NAV) formula. I need to know the specific steps and components involved in this calculation.
How do you calculate discount to NAV?
I am trying to understand how to calculate the discount to NAV. Could someone explain the process or formula to me?
Do dividends reduce NAV?
I'm trying to understand the relationship between dividends and NAV. Specifically, I want to know if dividends have an impact on reducing the Net Asset Value of a fund or an investment portfolio.