Welcome to Arth Vani

Choose your preferred language

Sponsored · Open a free Demat account & get ₹500 in stocks.Claim
Nifty 5024,206.91.02%H 24,228.45 · L 24,120.35|Sensex77,569.391.08%H 77,642.23 · L 77,320.56|Bank Nifty58,045.91.39%H 58,251.95 · L 57,576.7|USD / INR₹95.370.01%H ₹95.37 · L ₹95.37|Gold Intl (10g)₹1,25,497.090.51%H ₹1,26,070.47 · L ₹1,25,359.11|Silver Intl (1kg)₹1,81,397.241.67%H ₹1,83,344.29 · L ₹1,81,059.96|Crude WTI₹7,056.433.61%H ₹7,076.45 · L ₹6,979.18|Bitcoin$63,7410.88%H $64,022.1 · L $63,459.9|Ethereum$1,804.720.94%H $1,813.24 · L $1,796.2|Nifty 5024,206.91.02%H 24,228.45 · L 24,120.35|Sensex77,569.391.08%H 77,642.23 · L 77,320.56|Bank Nifty58,045.91.39%H 58,251.95 · L 57,576.7|USD / INR₹95.370.01%H ₹95.37 · L ₹95.37|Gold Intl (10g)₹1,25,497.090.51%H ₹1,26,070.47 · L ₹1,25,359.11|Silver Intl (1kg)₹1,81,397.241.67%H ₹1,83,344.29 · L ₹1,81,059.96|Crude WTI₹7,056.433.61%H ₹7,076.45 · L ₹6,979.18|Bitcoin$63,7410.88%H $64,022.1 · L $63,459.9|Ethereum$1,804.720.94%H $1,813.24 · L $1,796.2|

Net Asset Value (NAV)

The per-unit price of a mutual fund scheme.

Definition

Net Asset Value (NAV) is the per-unit market value of a mutual fund scheme. It is the total value of the fund's holdings minus its liabilities, divided by the number of outstanding units, and is published at the end of each business day.

Formula
NAV = (Total Assets − Total Liabilities) / Number of Units Outstanding
Example

If a fund's portfolio is worth ₹100 crore with 5 crore units, its NAV is ₹20. If you invest ₹10,000, you receive 500 units.

Explore mutual funds

Frequently asked questions

Related terms

Browse the full financial glossary. Educational only — not investment advice.

Daily 3-minute money update on WhatsApp

Join 50,000+ investors — free.