NAV stands for Net Asset Value, that is the net assets that a fund has, while NAV history is the evolution of NAV over time.
There is a difference between the two but it is determined by when the NAV value is assigned. Speak also with the fund holding store to determine how they do the NAV. I could differ from store to company. Sources: http://www.amfi.com/buying/mutual-fund-store http://www.mutualfundmediacenter.com
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nun ---- nav
The Net Asset Value (NAV) represents the value of a mutual fund's assets minus its liabilities, calculated at the end of each trading day. Market value, on the other hand, is the current price at which an asset can be bought or sold in the market. In investment analysis, NAV is used to assess the fund's performance, while market value reflects the real-time value of the investment.
Depending on the usage of your garmin nav, the device has excellent battery life. You can rest assured that the life of your battery can be anywhere between 15 and 20 hours.
Nav Mann is 6' 1".
Nav Canada's population is 5,000.
Nav Canada was created in 1996.
nav is net asset value which has to valued on 31.03.2009
what is the advantages of using a sat nav.
Nav Mann goes by Navi.
sai Kai shi nav sai Kai shi nav