Glossary

Net Asset Value (NAV)

The value of the investments in a fund. In the case of a unit trust or OEIC the net asset value per share normally corresponds to the fund's market price, subject to any sales or exit charge. However, the market price and the net asset value may vary noticeably for an investment trust. (See Discount to NAV and Premium to NAV.)

NAV equals the current market value of the funds' holdings minus the fund's liabilities. Fund NAVs are calculated at the end of each trading day and updated on Morningstar.co.uk accordingly.

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