Young Professionals

Beginners Guide to Valuing Opportunity Funds

Comparing performance across funds

The Net Asset Value (NAV) of a non-listed real estate fund is the current value of its assets minus its liabilities, which is basically a snapshot of what a fund is theoretically worth at a given point in time. Although the principle sounds simple, in practice, there are no commonly applied standards for calculating this figure within the non-listed property funds industry.

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