The real wordsPractical
Net asset value
NAVThe per-share, or per-unit, value of a mutual fund's investment holding.
NAV = (Market value of assets - Portfolio liabilities) / Number of units outstanding
Section B's own wording of what it means: it indicates the price at which investors buy or sell units, and shows how much one unit is worth on a given date. Total assets include the market value of investments, money market instruments, cash and receivables. Total liabilities include expenses payable, management fees and other accrued liabilities.