📊 NAV Deep Explanation – Net Asset Value Full Clarity
Vignesh Dhayalan – Universal Money Mart
📌 NAV Na Enna?
NAV full form Net Asset Value. Mutual fund oda per unit value dhan NAV.
Simple ah sonna…
NAV = (Total Assets – Liabilities) ÷ Total Units
📊 NAV Eppadi Calculate Pannuvanga?
Example paapom:
- Total portfolio value = ₹10 Crore
- Expenses & liabilities = ₹50 Lakh
- Total units = 50 Lakh units
NAV = (10,00,00,000 – 50,00,000) ÷ 50,00,000
NAV = ₹19
📈 NAV Increase Aana Enna Meaning?
NAV increase aana fund portfolio value increase aagirukku nu artham.
Aana important point 👇
Low NAV irukkaradhu cheap nu artham illa
High NAV irukkaradhu costly nu artham illa
NAV price illa — value representation.
📊 Investment Example
| Investment | NAV | Units |
|---|---|---|
| ₹10,000 | ₹20 | 500 Units |
| Later NAV = ₹25 | Value = ₹12,500 | |
❓ Daily NAV Change Aaguma?
Yes ✅ Equity mutual funds NAV daily update aagum (market close aprm).
Debt funds also daily NAV publish pannuvanga.
⚠ Important Myths
- ❌ Low NAV better
- ❌ New fund cheap
- ❌ High NAV risky
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Disclaimer:
This article is for educational purposes only. Mutual fund investments are subject to market risks. NAV fluctuation depends on market conditions. Please read all scheme related documents carefully before investing.
This article is for educational purposes only. Mutual fund investments are subject to market risks. NAV fluctuation depends on market conditions. Please read all scheme related documents carefully before investing.
Tags: nav meaning tamil, net asset value explained tamil, mutual fund nav calculation tamil, nav myths tamil, universal money mart
