Daily Question — Insight into ETF leveraged tokens to make trading more proficient.
View Original
This page may contain third-party content, which is provided for information purposes only (not representations/warranties) and should not be considered as an endorsement of its views by Gate, nor as financial or professional advice. See Disclaimer for details.
18 Likes
Reward
18
20
Repost
Share
Comment
0/400
PixiuMonster
· 22h ago
2026 Go Go Go 👊
View OriginalReply0
SunnyOk
· 01-04 08:36
Net Asset Value (NAV) refers to the actual value of the fund. It represents the fair market value of the assets held per unit of the fund at a specific time. NAV reflects the actual value per share of the fund's underlying assets in the secondary market and also serves as a reference price for users to buy and sell leveraged ETF tokens.
View OriginalReply0
Crypto_Buzz_with_Alex
· 01-04 06:50
Buy To Earn 💎
Reply0
Crypto_Buzz_with_Alex
· 01-04 06:50
2026 GOGOGO 👊
Reply0
Crypto_Buzz_with_Alex
· 01-04 06:50
Happy New Year! 🤑
Reply0
MrFlower_XingChen
· 01-04 05:44
The net asset value (NAV) of a fund refers to the actual price per unit of a mutual fund or investment fund.
Simply put, NAV indicates:
👉 If the fund were to be liquidated today, how much each fund unit would be worth.
View OriginalReply0
HighAmbition
· 01-04 05:05
Buy To Earn 💎
Reply0
CryptoChampion
· 01-04 04:38
Net Asset Value (NAV) refers to the actual value of a fund. It represents the fair market value of the assets held per unit of the fund at a given time. NAV reflects the real value of each share based on the fund’s underlying assets in the secondary market, and it is also the reference price at which users buy or sell leveraged ETF tokens.
Daily Question — Insight into ETF leveraged tokens to make trading more proficient.