
How is NAV calculated for REITs?
I want to understand how the Net Asset Value (NAV) is calculated specifically for Real Estate Investment Trusts (REITs). Could someone explain the methodology behind this calculation?


How to calculate NAV of ETF?
I want to understand how to calculate the Net Asset Value (NAV) of an Exchange Traded Fund (ETF). I need a clear explanation on the methodology and steps involved in this calculation.
