Home » Definitions » NAV
Net asset value. The price per share of an investment company or other pooled investment vehicle, calculated by dividing the total value of the fund’s portfolio (less liabilities) by the number of shares outstanding.
Blank Check Company
Anchor Investor
At-the-Market Offerings
Backdoor IPO
Bad Actor
Blue Sky
Bookrunner
Bought Deal
Clawback
Crossover Round
Crowdfunding
Death Spiral
Direct Listing
Fire Sale
Freezer Account
Funding Portal
Green Shoe
Gun Jumping