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What is NAV?

Net Asset Value: the estimated market value of a REIT’s underlying assets minus liabilities, usually per share. Trading at a premium or discount to NAV signals the market’s view of the platform, leverage, and outlook.

Where you will use it: this term comes up in the Real Estate Finance course, and the full course glossary collects every term in one place.

Related terms

From the free Real Estate Finance course by Devon Coombs, CPA, MBA.