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NAV Versus iNAV: An Introduction to Net Asset Values

Tuesday, February 14, 2017 6:17
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When it comes to value investing, there’s an important distinction between an asset’s apparent value and its actual value. Within the context of mutual funds and exchange-traded funds (ETFs), this distinction is made by examining the net asset value (NAV) and indicative net asset value (iNAV). Both help investors establish a point of reference when selecting which ETFs to include in their portfolios.


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