What is the full form of NAV?

Net Assessment Value
National Asset Value
Net Asset Value
National Asset Variation

The correct answer is C. Net Asset Value.

Net asset value (NAV) is a measure of the total value of a mutual fund or exchange-traded fund (ETF) that is calculated by taking the total market value of all of the fund’s assets and subtracting the total liabilities. NAV is typically expressed as a dollar amount per share, and it is used to determine the price of a fund’s shares.

Option A, Net Assessment Value, is incorrect. Net assessment value is a term used in the military to assess the capabilities of an enemy.

Option B, National Asset Value, is incorrect. National asset value is a term used in economics to refer to the total value of all of the assets owned by a country.

Option D, National Asset Variation, is incorrect. National asset variation is a term used in finance to refer to the change in the value of a country’s assets over time.