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Nav per share

• The value of a mutual fund share. The NAV per share is calculated by dividing the total Net Asset Value of the fund by the number of shares outstanding.

 
 Embedded terms in definition
 Asset
Mutual fund
Nav
Net asset value
Net
Shares
Share
 
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Helping Disabled or Elderly Relatives With Money Management, Even From Far Away: Millions of people serve as financial caregivers for ill or elderly spouses, parents, children or other loved ones. They perform services that include paying bills, handling deposits and investments, filing insurance claims and preparing taxes. Because this role can be costly and physically and emotionally exhausting, especially for a caregiver who lives far away or has the usual time-demands, FDIC Consumer News offers some suggestions. More...

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