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Where do I find the intraday NAV for an ETF?



Our response:

The “indicative net asset value” – iNav or intraday NAV – is calculated a few times a minute and is generally available from the exchange where the ETF trades, or from the brokerage where you buy and sell ETFs.

The indicative net asset value is not a true measure of the NAV, however it may be used to estimate the value of and ETF throughout the day. Speak to a financial advisor to understand how you may use the iNav.

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