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View NAV summary and NAV per share class

Double-click the fund in the NAV status view to open NAV overview. In the NAV summary tab, you can see an NAV summary for the entire fund. In the Share classes tab, you can see NAV per fund share class. The following sections describe these tabs in more detail.

Share classes tab

The Share classes tab shows the fund NAV per share class. Click a share class to open the details pane that shows NAV calculation details for this share class.

Share classes tab MUI

Table columns

Currency

Share class currency.

NAV

New calculated share class NAV.

Swung NAV

New calculated share class NAV which includes swing adjustment. Visible if you calculate swing adjustment separately and don't include it in the official NAV you publish. To learn more about swing pricing in FA Fund management, see Apply swing pricing.

Unswung NAV

New calculated share class NAV without swing adjustment. Visible if you include swing adjustment in the official NAV you publish. To learn more about swing pricing in FA Fund management, see Apply swing pricing.

NAV change %

NAV change since the previous accepted NAV in percentage.

Benchmark change %

Benchmark change since the previous accepted NAV in percentage. To learn more about benchmark setting, see Benchmark in FA Back reference.

Diff %

Difference between NAV change % and Benchmark change %.

Current units

The number of share class units that is taken into account in the NAV calculation (units that are going to be issued based on pending trade orders aren’t included in this number).

Change in units

Change in number of outstanding units since the previous NAV calculation.

Share class NAV details

The NAV details pane on the right shows:

Net asset value

Net asset value of the share class.

Previous NAV units

Number of share class units that was taken into account last time NAV was calculated.

Previous NAV date

The date of previous NAV calculation.

Previous NAV

Previous NAV in the share class.

Questions about NAV overview

Why do I see “Incomplete data - no preview available” in the NAV overview?

This means that you are trying to view the data from previous calculations carried out with the old fund management functionality. NAV overview shows only the data calculated in the FA Fund Management app.