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The up-to-date reporting ensures the most accurate valuation of the portfolio with the data currently available. To bridge the information gap between the last fully reported Quarter and the current valuation of the portfolio.

The NAV valuation for funds in quarters is calculated with the logic:

Quarter

Case

Calculation Logic

past fully reported quarters

Ending NAV of Quarter (input)

Current Quarter

if cash flows and/or NAV uplift % available

Projected NAV = (Ending Projected NAV of last reported quarter + contributions since last reported - distributions since last quarter) * (1+NAV Uplift %)

no data is entered

last quarter Projected NAV,

Future Quarters

if cash flows and/or NAV uplift % available

Projected NAV = (Ending Projected NAV of last reported quarter + contributions since last reported - distributions since last quarter) * (1+NAV Uplift %)

no data is entered

Projected ending NAV comes from Portfolio Analysis

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