Young Professionals

Beginners Guide to INREV NAV

Difficulties in comparing performance

In principles, the Net Asset Value (NAV) of a non-listed real estate fund is the current value of its assets minus its liabilities. However, in practice, there is no universally accepted method of calculating this figure. This lack of consistency makes it difficult to compare the performance of non-listed real estate funds both against each other and against other kinds of funds, and led to the development of INREV NAV.