Search
results
for “NAV”
You searched for “NAV” , 10 results found.
Page 4 of 5.-
2020 Weekly NAV for CIS
-
2021 Weekly NAV for CIS
-
2022 Weekly NAV for CIS
-
2023 Weekly NAV for CIS
-
Revised Minimum Capital (MC) for Regulated Capital Market Entities
-
FAQs on "Net Asset Value" and "Unit Price"
Understand how Net Asset Value and Unit Price are determined, why they matter to investors, and the mechanics behind their calculation and reporting in Nigeria’s capital market
-
Circular To All Registered Fund/Portfolio Managers On Annual Regulatory And Supervision Fees
-
Monthly Net Asset Value For CIS
Access a comprehensive monthly compilation of net asset values (NAVs) for Collective Investment Schemes (CIS), empowering you to evaluate the performance of CIS and make informed investment choices.
-
Monthly Net Asset Value For ETF
Navigate the world of Exchange Traded Funds (ETFs) with ease by exploring our monthly net asset value (NAV) data, providing insights into the performance of various ETFs and guiding your investment decisions.
-
Weekly Net Asset Value For CIS
Stay abreast of the weekly fluctuations in net asset values (NAVs) of various collective investment schemes, enabling you to track market movements and identify potential investment opportunities.