Net Asset Value (NAV)
Net Asset Value (NAV)
A term to describe the value of assets minus the value of liabilities. The NAV is often calculated on a daily basis in the context of mutual funds.
Also read:
.SmallCapVoice.com
http://www.qualitystocks.net
RedChipNet Asset Value (NAV)
A term to describe the value of assets minus the value of liabilities. The NAV is often calculated on a daily basis in the context of mutual funds.
Also read:






official-directory.com premium web directory
Copyright OTC Listings 2009 OTCListings.com Blog for the OTC BB. All Rights Reserved.