Register Log-in Investor Type


Net Asset Value per share (NAV per share)

Net Asset Value per share (NAV per share) – The Net assets divided by the number of shares in issue (often just abbreviated to net asset value or NAV). Read our guide to net asset values


Click here to subscribe for free equity research on investment trusts, funds and listed companies.

Please review our cookie, privacy & data protection and terms and conditions policies and, if you accept, please select your place of residence and whether you are a private or professional investor.

You live in…

You are a…