what is nav in sip

Mutual Funds NAV SIP

Net asset value (NAV) and systematic investment plan (SIP) The net asset value which we know NAV of the fund is the aggregate market value of the assets fund net of its liabilities. if we describe in word then that means the fund is ended or converted, by selling off all the assets in the fund, this is the aggregate value that the shareholders would collectively own. This gives growth to the perce...

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