Home> Business> Finance> Fund`s assets(given net asset value,liabilities and number of shares outstanding)
Fund`s assets(given net asset value,liabilities and number of shares outstanding)
Formula
fa
fund`s assets
l
liabilities
so
number of shares outstanding
NAV
net asset value
Formula description
Net asset value (NAV) is a term used to describe the value of an entity`s assets less the value of its liabilities. An open-end(ed) fund is a collective investment scheme which can issue and redeem shares at any time.