Definition of NAV per share
NAV per share
Net Asset Value per share. The value of a company's assets less its liabilities (net assets), divided by the number of ordinary shares in issue. In theory, this represents the amount attributable to each share if the company was wound up. However, the function of the balance sheet is not to value assets (which are often stated at historic cost), so the net asset value likely to be lower than the market value.
A Leading provider in financial training for non-financial people, corporate communications, financial PR and Investor Relations.
We've spent years developing practical, interesting, engaging ways for people to learn - and have developed multiple ways to make the learning stick. Most importantly, people leave our courses with the tools in place to use what they have learnt back at work - and make a difference.
Our most popular online courses include: