By eHow Personal Finance Editor
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Your mutual fund's Net Asset Value (NAV) is the total value of a mutual fund's portfolio minus its total debts. The total value of the portfolio is measured by the market value of all the investments in which the mutual fund has shares. The debts are the total cost of running the mutual fund. Your mutual fund will measure your NAV every day, usually at the end of the business day. The NAV tells the mutual fund manager or brokers how much money each share of the fund is worth.
eHow Personal Finance Editor