Examples of using Net asset value in English and their translations into French
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Colloquial
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Official
The net asset value is published on a weekly basis on Pargesa's website.
Firstly, on the basis of the recoverable Net Asset Value and Intangibles based on comparable market transactions 3% to 5% of Assets under Management.
Firstly, on the basis of the recoverable Net Asset Value and goodwil/intangible assets based on comparable market transactions 2 to 5% of Assets under Management.
This ensures liquidity, and the indicative net asset value of the ETF is calculated continually.
where can one find net asset value figures?
A maximal total cost ratio of 3,5% of the net asset value has been implemented.
This could possibly help to decrease the discount of its share price towards its net asset value.
the counterparty risk can be a maximum of 10% of the net asset value of the fund.
compares the components of the net asset value at year-end 2017
The net asset value of Intervest Offices& Warehouses includes the 2011 dividend up to the payment date on 25 May 2012.
If the valuation of a participation according to the net asset value is negative,
GBL's net asset value increased by 11% to EUR 18.9 billion, or EUR 117.06 per share.
The Management Fee will be paid monthly based on the net asset value of the Partnership on the Valuation Date for the preceding month.
The following table shows the increase or decrease in the net asset value of the investment portfolio of NCE-08 for the periods indicated.
TRIPLE NET ASSET VALUE- BLOCK(EPRA FORMAT) The diluted triple Net Asset Value is calculated according to the EPRA(1) recommendations.
The net asset value of Intervest Offi ces& Warehouses includes the 2012 dividend up to the payment date on 24 May 2013.
Belgium's shareholders' equity and consequently the net asset value per share, for an amount of exactly€ 0.64.
Reflects the net asset value per share adjusting for some material IFRS adjustments to enable comparison with its stock market value. .
EPRA NAV” corresponds to the Net Asset Value adjusted to exclude,
The net asset value of Intervest Offices& Warehouses includes the 2010 dividend up to the payment date on 21 April 2011.