NAV Calculator – Net Asset Value – Investment Tools – Multi-Tools

NAV Calculator – Net Asset Value

Calculate and analyze the Net Asset Value (NAV) of investment funds. Track fund performance, asset allocation, and management efficiency.

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Formula Reference
Net Asset Value

NAV = (Total Assets – Total Liabilities) / Shares Outstanding

NAV Change

NAV Change = (Current NAV – Previous NAV) / Previous NAV × 100%

Management Fee

Fee = Total Net Assets × Management Fee Rate

Expense Impact

Impact = Total Expenses / Shares Outstanding

NAV Components
  • Assets include securities, cash, receivables
  • Liabilities include payables, debt, expenses
  • Shares outstanding affect NAV per share
  • Expenses reduce NAV over time
How to Use
  1. Enter fund assets
  2. Input fund liabilities
  3. Add shares information
  4. Include fee details
  5. Click “Calculate” to analyze

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