rahastoarvot
Rahastoarvot, often translated as fund values or net asset values (NAV), represent the per-share market worth of a mutual fund or exchange-traded fund (ETF). This value is calculated by taking the total market value of all the securities held within the fund, subtracting any liabilities (such as expenses or management fees), and then dividing the result by the total number of outstanding shares. The fund's registrar or fund management company typically calculates the rahastoarvo once per trading day, usually after the market closes.
The rahastoarvo is the price at which investors buy into and sell out of the fund. When