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Net Asset Value is defined as.

a. Book value of assets divided by shares outstanding

b. Book value of assets minus liabilities divided by shares outstanding

c. Market value of assets divided by shares outstanding

d. Market value of assets minus liabilities divided by shares outstanding

User Jermy
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1 Answer

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Final answer:

The Net Asset Value (NAV) is the market value of assets minus liabilities divided by shares outstanding.

Step-by-step explanation:

The Net Asset Value (NAV) is defined as the market value of assets minus liabilities divided by shares outstanding. This formula calculates the per-share value of a mutual fund or exchange-traded fund (ETF) based on the current market value of its holdings. By dividing the net asset value by the number of shares outstanding, we can determine the price per share.

User Alica
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