NAV (Net Asset Value) — The total value of an ETF's underlying holdings, minus liabilities, divided by the number of fund shares outstanding. The 'true' per-share value.
NAV is computed by the fund issuer at the end of each trading day. The MARKET price of the ETF can trade slightly above or below NAV — that gap is the premium/discount.
The NAV (Net Asset Value) metric shows up on every IndexAlpha research page. See it now on VOO — or research any stock to view its NAV (Net Asset Value).
The total value of an ETF's underlying holdings, minus liabilities, divided by the number of fund shares outstanding. The 'true' per-share value.
NAV is computed by the fund issuer at the end of each trading day. The MARKET price of the ETF can trade slightly above or below NAV — that gap is the premium/discount.