Glossary

Net Assets (Fund)

The assets of a fund's holdings minus the fund's liabilities. Most often represented as a per-share value, i.e. net asset value (NAV), which equals the current market value of the funds' holdings minus the fund's liabilities, divided by the number of fund shares outstanding.

Fund NAVs are calculated at the end of each trading day and updated on Morningstar.co.uk accordingly.

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