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Trading Terms

Net Asset Value

In the world of finance, we often come across the term "net asset value" or NAV. This refers to the total market value of all securities held within a mutual fund. Essentially, it is the price per share of the fund. Understanding NAV is crucial for investors as it helps determine the profitability of the fund and its potential for growth. So, keep an eye on the NAV of your mutual fund investments to make informed decisions.

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