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About

Fund Net Asset Value (NAV) Report is used to determine the performance of your fundsfunds based on base amount, P/L, NAV ratio and predetermined call/cut levelsYou may upload your paper trades as per normal via Creating New Paper Trade(s) and the model will calculate the figures accordingly. You may also input the Call and Cut Level to determine if your NAV Ratio requires immediate attention.

You can click here to learn how to customise the table by arranging and filtering the columns based on your preference, and saving the table layout(s) as a template. 


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Navigation

To access the quantitative model/report, click on 'Dashboard' from the navigation sidebar on the left. 

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