Breadcrumbs
| NAV (net asset value) | NAV is the amount the investor pays to buy a single unit of mutual fund. NAV is calculated as : (Total value of all assets - Total liabilities) / Total outstanding shares. |
| No Load | A fund that does not charge any load when an investors enters or exits the fund. |
| Non-Performing Assets (NPA's) | NPA are assets which have stopped generating returns. |



