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NAV

The per-share value of a fund’s holdings.

Also known as: Net asset value

In detail

NAV (net asset value) is the value of a fund’s holdings minus liabilities, divided by shares outstanding. An ETF’s market price trades close to, but not exactly at, its NAV.

Where you’ll see this

Synoptiv annotates this term wherever it appears in a stock analysis. Browse analyzed stocks to see it in context.

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