net asset value

net asset value. The market value of a share in a mutual fund, computed by deducting any liabilities of the fund from its total assets and dividing the difference by the number of outstanding fund shares. — Abbr. NAV. — Also termed asset value. See MUTUAL FUND.
专业法律词汇 词条贡献者
法律翻译文楷,毕业于新加坡知名法学院,专注翻译各类与合并许可有关的法律文件。
Scroll to Top