SPY+0.8%
QQQ+1.2%
DIA-0.3%
SYSTEM: OFFLINEQILTRACK: V4.0
BTC+2.5%
ETH+1.8%
DEMO
SPY+0.8%
QQQ+1.2%
DIA-0.3%
SYSTEM: OFFLINEQILTRACK: V4.0
BTC+2.5%
ETH+1.8%
DEMO
SPY+0.8%
QQQ+1.2%
DIA-0.3%
SYSTEM: OFFLINEQILTRACK: V4.0
BTC+2.5%
ETH+1.8%
DEMO
SPY+0.8%
QQQ+1.2%
DIA-0.3%
SYSTEM: OFFLINEQILTRACK: V4.0
BTC+2.5%
ETH+1.8%
DEMO

净值折价

基金市场价格低于其净资产价值。

valuationfunds

定义

NAV折价发生在封闭式基金市场价格低于其投资组合净资产价值时。折价可能源于流动性溢价、费用预期、投资者情绪或管理质量担忧。折价收窄是潜在回报来源,但折价也可能持续甚至扩大。

公式

NAV Premium/Discount = (Market Price - NAV) / NAV × 100%

示例

A closed-end fund has NAV of $20 per share but trades at $17. That's a 15% discount to NAV, potentially offering value if the discount narrows.

常见问题

净值折价 是什么?

基金市场价格低于其净资产价值。

如何计算 净值折价?

净值折价 的常见公式是:NAV Premium/Discount = (Market Price - NAV) / NAV × 100%

为什么 净值折价 重要?

净值折价 帮助投资者评估valuation并做出更有依据的决策。

相关术语

本内容仅供信息参考,不构成投资建议。

净值折价 - Definition & Meaning | Financial Glossary