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.
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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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