NAV Calculation

Here is a nice article addressing a core component of the fund administrator role: how to calculate a NAV (net asset value). This is useful for fund accountants preparing for roles in NAV calculation in hedge funds and NAV calculation in mutual funds. For more advanced fund accounting training and fund financial reporting training, click on TRAINING above.

Resources are available to registered users only. Joining is free and easy. Complete the form below.

Sign In

Forgot Password?

Join for Free

Join Quickstep to gain access to free training resources including videos, quizzes, puzzles, articles and job-aids.

* Required fields

Related Training