NAV Finder:

NAV stands for "Net Asset Value." It is a key metric used in the mutual fund industry and is essentially the per-share market value of a mutual fund's assets. NAV is calculated based on the below formula: Total Assets-Total Liabilities/ Outstanding Units

NAV Finder refers to a tool or service that helps users locate or obtain the Net Asset Value (NAV) of a specific mutual fund or investment product.

How does it work:

Begin by selecting your preferred Asset Management Company (AMC) and then choose a fund offered by that specific AMC. Next, specify the desired duration for which you require the Net Asset Value (NAV). Upon clicking the "Submit" button, you will promptly receive the NAV for the specified duration.

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