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Investor
Posted On: 03/15/2013 11:30:15 PM
Post# of 351
Posted By: Investor

The meaning and definition of Net Asset Value NAV
The price of a mutual fund share, computed by subtracting a fund's total liabilities from total assets and dividing by the number of shares outstanding. The NAV does not include any associated sales charges, and is calculated at the close of each business day.


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