net asset value
net
ˈnɛt
net
a
æ
ā
sset
sɪt
sit
va
lue
lju:
lyoo
NAV

“net asset value”的英语定义和含义

Net asset value
01

资产净值, 净资产价值

the value of a company's assets minus its liabilities, divided by the number of outstanding shares 
语法信息
有生性状态
抽象
形态构成
复合词
不可数
例子
The mutual fund's net asset value (NAV) is calculated at the end of each trading day, reflecting the total value of its assets minus liabilities. 

共同基金的资产净值(NAV)在每个交易日结束时计算,反映其资产总值减去负债。

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