Definition of «fund value»

Fund Value refers to the net asset value (NAV) per unit of a mutual fund scheme. It represents the total assets of the fund minus its liabilities, divided by the number of units outstanding. The Fund Value is calculated on a daily basis and reflects the performance of the underlying securities in which the fund has invested. A higher NAV indicates that the value of the investor's holdings is increasing, while a lower NAV means that the value of their holdings is decreasing.

Sentences with «fund value»

  • The last loyalty addition a percentage of simple average of fund values on the last day of previous eight calendar quarters, before the maturity of the policy. (comparepolicy.com)
  • On survival of the life assured till end of the policy term, Total fund value as on the maturity date is payable. (comparepolicy.com)
  • Guaranteed loyalty additions will be 3 % of the average fund value in the investment account over the last 36 months preceding the loyalty allocation date. (idbifederal.com)
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