Hint mode is switched on Switch off

NAV (Net Asset Value)

Category — ETF & Funds
NAV is the main indicator of a mutual fund’s performance that measures in money the property in the collective ownership of fund shareholders, calculated as the difference between the sum of the fund's assets and fund’s liabilities on the reporting day. The NAV of funds is considering for: 1) calculating the fair price of shares for non-Exchange-Traded mutual funds; 2) evaluation the fund’s management effectiveness; 3) ranking funds and providers in order to identify the largest players in collective investment markets.

Try in 7-days Trial access

Free for company representative

  • Get full online access to the database
  • Use our powerful bond screener
  • Track bond prices from 400+ sources
  • Smart Portfolio Monitoring
  • Evaluate advanced analytical tools
Sign up

Why Cbonds?

  • 24 Years of Market Leadership
  • Trusted by clients across 90 countries for decades of reliable service
  • Used by Financial Professionals & Fintech central banks, asset managers, fintech innovators
  • Convenient platform for private investors for informed investment decisions
Terms from the same category

Upgrade to Premium features

Cbonds consolidates global bond, stock, ETF and indices data into a single platform — so you can analyze faster, make informed investment decisions and outperform the market

Get access
Welcome to Cbonds
  • Full access to the largest bond database

    Bond parameters,
    prospectuses

  • Seamless
    Data export

    Analyze the data in the most efficient way

  • Bond pricing

    Current & historical quotes from 400+ stock exchanges & OTC market

  • Smart risk assessment

    Credit ratings, financial reports

Registration is required to get access.