Answer:
Net Asset Value of the fund = $377.6 million
Step-by-step explanation:
Net Asset Value 9NAV) is the value per share in a portfolio.
Provided information,
All Star Basic Value Fund value = $386.2 million
Liabilities of fund = $8.6 million
Net Asset Value = $386.2 - $8.6 = $377.6 million
Net Asset Value per share =
![(377,600,000)/(18,600,000) = 20.30](https://img.qammunity.org/2020/formulas/business/high-school/ugp6mkbba5kxsp3c9pmhvx9fzbn4nbm6zu.png)
Therefore, Net Asset Value of the fund = $377.6 million
And NAV per share = $20.30