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Maximizing Flexibility and Efficiency with NAV Lending
The chapter explores how portfolio managers can optimize their decision-making process by utilizing Net Asset Value (NAV) lending over corporate level financing. It emphasizes the benefits of a diversified portfolio with NAV lending in addressing multiple assets' needs and maintaining operational flexibility. Additionally, it discusses the impact of NAV lending on distributions, risk balance, collaborative decision-making, and the evolving landscape of NAV Finance.