What Is ETF NAV?

What is an ETF’s Net Asset Value (NAV)? The NAV of an ETF is calculated by dividing the value of all the securities held by the ETF – such as shares or bonds, as well as cash – by the number of shares outstanding, less any liabilities such as the Total Expense Ratio (TER). The

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What Is ETF Market?

An exchange traded fund (ETF) is a collection of securities that trade like stocks on a stock exchange. Unlike mutual funds, which only trade once a day after the market closes, ETF share prices fluctuate throughout the day as the ETF is purchased and sold. What is an exchange-traded fund (ETF) and how does it

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