Wachovia logo: go to home page
Home | Customer Service | Contact Us | Locations  

PERSONAL FINANCE GLOSSARY

Alphabetical Listing
Search  
X
N
Current TermNet Asset Value
Net Asset Value
Listed as NAV in mutual fund listings, Net Asset Value is the market value of a fund's shares. It is calculated at the close of trading.
† ©CBS MarketWatch

Access Accounts
Customer Service Login

Apply Now
All Application Forms



Privacy and Security | Legal | Careers | Merger | About Wachovia
© 2008 Wachovia Corporation. All rights reserved.