Definition of "Net Asset Value (NAV)"

The value of a mutual fund share as determined at the close of each business day. The mutual fund adds up the market value of all securities in its portfolio, deducts expenses, and divides this total by the number of shares outstanding. All shares redeemed on that day are done so at the NAV for that specific day.

For expert help with your annuity call toll-free 866-866-1999
© Copyright 2004 - 2008 Total Return Annuities
Enter your state, age, and dollar amount and click to calculate.

Optional - Enter Joint Annuity info.


Enter An Amount and Click to Calculate

Premium Amount:
Need help? call 1-866-866-1999