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NYSE · Live ET

Net Asset Value (NAV)

What is Net Asset Value (NAV)?

Net asset value is the per-share value of a fund: the total value of its holdings minus liabilities, divided by the number of fund shares.

Why it matters

Mutual funds are bought and sold at NAV once a day. ETFs trade at market prices that stay close to NAV.

Related terms

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General education, not investment, tax or legal advice. Read our disclosures.