Bond Education | Glossary
Net Asset Value (NAV)
The market value of all the bonds in a mutual fund portfolio divided by all the outstanding shares.
The market value of all the bonds in a mutual fund portfolio divided by all the outstanding shares.
Please Sign UpLogin to BondView Pro to gain access to our advanced features.
Login
Please Sign UpLogin to gain access to our advanced features.
Login
no credit card needed for free accounts.
It's tax season