What is the formula for price to NAV?
I'm looking for the formula that calculates the price to NAV. I need to understand how this ratio is determined in order to make informed investment decisions.
How do ETFs stay close to NAV?
I'm wondering how Exchange Traded Funds (ETFs) are able to maintain a close proximity to their Net Asset Value (NAV). Could someone explain the mechanisms behind this?
How do you calculate NAV premium or discount?
I want to know how to calculate the NAV premium or discount. Is there a specific formula or method to determine this? I'm looking for a step-by-step guide on how to calculate it accurately.
Is high or low NAV better?
I'm trying to understand the concept of NAV in investments. Specifically, I want to know whether a high NAV or a low NAV is considered better. What are the implications of each?
Why do REITs trade at a discount to NAV?
I'm wondering why Real Estate Investment Trusts (REITs) often trade at a price that's lower than their Net Asset Value (NAV). What factors contribute to this discount?