NAV Limited
 Investors
 Banks
 Trust Companies
 Financial Advisors

Investors

The navglobal system allows you to view a consolidated report showing your net asset value wherever you can access the internet. This is updated daily using prices current at the close of trading New York time the previous day for all you financial investments.
 
To ensure that all your assets are included, the system can incorporate mutual funds, unit trusts, shares, fixed income, property and even investments in art or antiques. It will also handle liabilities such as mortgages or investment loans.
 
A key feature of the system is to aggregate assets even when they are held in wrap products such as Insurance bonds or saving schemes using feeds from the institutions themselves.
 
navglobal is also able to automatically show the close of day balance in your offshore bank account with certain premier banking institutions.
 
As well as straightforward valuations, you are able to analyse your assets by currency or sector and view charts of the performance of your holdings.
 
Security is paramount to NAV. Access to your valuation is by User Identification code and password, the latest encryption techniques are used to protect your data. Most importantly, at no time are your name and contact details associated with your investments on line.



















Contact Us    Client Confidentiality Statement    Site Usage Statement
Copyright © 1999-2010 NAV Limited. All rights reserved.