NAV per Share=Total Assets−Total Liabilities/Number of Shares Outstanding
Represents the per-share value of a fund's or REIT's assets after accounting for liabilities.
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Similar ideas to Net Asset Value (NAV) per Share for investment funds or real estate investment trusts)
Another metric useful for evaluating some types of stocks is the price-to-book ratio.
How to calculate?
A single share of a company represents a small, but real, ownership stake in a corporation.
One stock's percentage of ownership is determined by dividing it by the total number of shares outstanding.
Stock ownership generally entitles the owner to corporate voting rights and to any di...
OMV is the price an asset would get in the marketplace, or the value the investment community gives to particular equity or business.
Market value is also used to refer to the market capitalization of a publicly-traded company. It is calculated by multiplying the number of...
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