Voorbeelden van het gebruik van Net asset value in het Engels en hun vertalingen in het Nederlands
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Medicine
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Computer
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Ecclesiastic
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Official/political
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Programming
Net asset value at year end.
Date and frequency of the net asset value.
The net asset value is calculated in euros.
They are recorded for each net asset value.
The net asset value of the Fund may decrease.
Book value is a company's net asset value.
The net asset value of the Fund may therefore assume the same behaviour.
Place and means of publication of the net asset value.
The net asset value of the fund can fall if interest rates rise.
Changepct"- The percentage change in the net asset value.
Annual net asset value calculation by a well-known auditor.
Supervising the calculation of the published net asset value.
The net asset value of the fund can also show negative performance.
Total investment return based on net asset value per share: 26.3%.
The net asset value of the Fund may therefore decline rapidly and significantly.
Shares are converted on the basis of an unknown net asset value.
The net asset value(NAV) is published each business day at www. beama. be.
Companies are valued on the basis of net asset value.
At the end of 2016, the net asset value for each depository receipt was EUR82 2015: EUR81.
The Fund's market price is likely to deviate from its indicative net asset value.
At the end of 2016, the net asset value for each depository receipt was EURÂ 82 2015: EURÂ 81.
Therefore they are not consolidated but are valued at net asset value.
The net asset value of the Fund may decrease in the event of an equity market downturn.
Subscriptions must be fully paid up on net asset value calculation day.
The net asset value(NAV) of the funds are published through Easy Banking
Investments Investments in participating interests are stated at net asset value.
The Net Asset Value of the compartment can fluctuate due to equity market movements.
significant interests Net asset value Recommended.
The net asset value per share is determined in the currency of the sub-fund as determined by the Board of Directors.
significant interests Net asset value Recommended.