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Price / Net Asset Value (NAV) ​

The value of each share in a fund in terms of the value of its underlying holdings. NAV is calculated as the total value of a fund (stock plus cash and accruals, less fees) divided by the number of issued shares.

All exchange traded funds (ETFs), are bought and sold at their market prices, which may be at a premium or discount to NAV.

NAV as of : date of calculation