What is the full form of NAV?
a. Net Actual Value
b. Net Annual Value
c. Net Asset Value
d. Net Average Value
ANSWER: Net Asset Value
Explanation:
NAV is calculated by the Asset Management Company (AMC) at the end of every business day.
a. Net Actual Value
b. Net Annual Value
c. Net Asset Value
d. Net Average Value
ANSWER: Net Asset Value
Explanation:
NAV is calculated by the Asset Management Company (AMC) at the end of every business day.
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