Mastery card
I can explain NAV
Assets minus liabilities - what each share of a fund or company owns on paper.
Net asset value (NAV) is total assets minus total liabilities, often expressed per share for mutual funds, REITs, or asset-heavy businesses.
Sticky trick
NAV per share updates with asset values. Compare fund price to NAV to spot premiums or bargains.
Take into the room
In plain English, what is NAV?
Or open the share card 🗺️
Or start your own 5-word trail from home.