netoväärtusomakapital
Netoväärtusomakapital, also known as net asset value (NAV) capital, refers to the total value of a fund's assets minus its liabilities, as calculated on a daily basis. It represents the fund's net asset value per share, which is used to determine the price at which shares are bought and sold. NAV capital is a key metric for investors to evaluate the performance and liquidity of a fund. It is particularly important in the context of open-ended funds, where shares can be created or redeemed daily based on the NAV.
The calculation of netoväärtusomakapital involves summing up the market value of all assets held by the fund
Investors use NAV capital to assess the fund's performance over time, as it provides a clear indication
In summary, netoväärtusomakapital is a fundamental concept in the world of investment funds, providing transparency and