Net Asset Value Chart

Sep '18
Jan '19
May '19
 
285.00
270.00
255.00
240.00
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Historical Net Asset Value Data

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Date Value
September 16, 2026 0.9868
September 15, 2026 0.9863
September 14, 2026 0.9872
September 11, 2026 0.9875
September 10, 2026 0.9873
September 09, 2026 0.989
September 08, 2026 0.9899
September 04, 2026 0.9898
September 03, 2026 0.99
September 02, 2026 0.9898
September 01, 2026 0.9901
August 28, 2026 0.9904
August 27, 2026 0.9909
August 26, 2026 0.9907
August 25, 2026 0.9908
August 24, 2026 0.9903
August 21, 2026 0.9897
August 20, 2026 0.9895
August 19, 2026 0.99
August 18, 2026 0.9896
August 17, 2026 0.99
August 14, 2026 0.9899
August 13, 2026 0.9899
August 12, 2026 0.9895
August 11, 2026 0.9893
Date Value
August 10, 2026 0.9894
August 07, 2026 0.9896
August 06, 2026 0.9888
August 05, 2026 0.9887
August 04, 2026 0.9887
August 03, 2026 0.9879
July 31, 2026 0.9868
July 30, 2026 0.9868
July 29, 2026 0.9866
July 28, 2026 0.9868
July 27, 2026 0.9866
July 24, 2026 0.9861
July 23, 2026 0.9861
July 22, 2026 0.9873
July 21, 2026 0.9873
July 20, 2026 0.9876
July 17, 2026 0.9873
July 16, 2026 0.9874
July 15, 2026 0.9878
July 14, 2026 0.9873
July 13, 2026 0.9868
July 10, 2026 0.9867
July 09, 2026 0.987
July 08, 2026 0.9865
July 07, 2026 0.9873

Net Asset Value (NAV) Definition

Net Asset Value measures the total value of a security based on assets divided by shares outstanding. This metric is calculated by (Total Assets - Total Liabilities) / Shares Outstanding.

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Net Asset Value Range, Past 5 Years

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Median

Net Asset Value Benchmarks

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Royal London Global High Yield Bond Fund Z EUR Acc 1.181

Net Asset Value Excel Add-In Codes

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Metric Code: net_asset_value
Latest Data Point: =YCP("M:IE00BD0ND001", "net_asset_value")
Last 5 Data Points: =YCS("M:IE00BD0ND001", "net_asset_value", -4)
To find the codes for any of our securities and financial metrics, see our Complete Excel Reference.