Majedie Investments - Net Asset Value Policy
Net Asset Value is, by definition, the net value of an investment fund’s assets, minus any liabilities. Majedie’s NAV reflects the true market value of the assets held by Majedie, and they adopt a proven pricing policy for each of our three strategies. The NAV published by Majedie is an accurate representation of market value of the assets held with no subjectivity. Mark Schilling explains more in the most recent video.
Recorded - December 2023
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