How is the NAV of a mutual fund calculated? Option: Total Assets / Total Outstanding Shares, (Total Assets + Total Liabilities) / Total Outstanding Shares, Total Liabilities / Total Outstanding Shares, (Total Assets - Total Liabilities) / Total Outstanding Shares

How is the NAV of a mutual fund calculated?

What does NAV stand for in the context of mutual funds?

What does NAV stand for in the context of mutual funds?

What does NAV stand for in the context of mutual funds?

What does NAV represent in the context of mutual funds?

What does NAV stand for in the context of mutual funds?