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Net Asset Value Per Share - NAVPS
What does it mean?
1. In mutual funds, the value of a mutual fund share. Calculated by dividing the total net asset value of the fund by the number of shares outstanding.
2. In corporate valuations, the net asset value divided by the number of shares outstanding.
In Other Words...
In other words, the value of a single unit of a mutual fund or share of a stock. The price which is the NAVPS is affected by its underlying value but also through market forces.
Related Links
Stock Basics Tutorial - If you're new to the stock market and want the basics, this is the tutorial for you!
Mutual Fund Basics Tutorial - Learn about the basics--and the pitfalls!--of investing in mutual funds.
Related Terms
Mutual Fund | NAV | Outstanding Shares | Stock
1 |
A | B |
C | D |
E | F |
G | H |
I | J |
K | L |
M | N |
O | P |
Q | R |
S | T |
U | V |
W | X |
Y | Z
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