NAV & valuation
Net asset value (NAV) concepts on KIBOV refer to reported valuations of pool assets and liabilities on a defined basis (e.g., daily, weekly), subject to data feeds, servicer reporting, and control procedures described per program.
Methodology (high level)
Valuation may combine:
- Servicer-reported balances and collections.
- Independent or platform-controlled pricing inputs where applicable.
- Oracle or reference rates for FX or index components when disclosed.
Methodology details belong in pool-specific documentation and data dictionaries—not generalized here.
Limitations
- NAV is not a guarantee of liquidation value.
- Stale or corrected data may trigger restatements.
- Oracle / RPC or third-party outages may delay updates.
FX and rounding
Where multi-currency exposures exist, conversion rules and rounding are defined in program materials. Basis points and precision matter for institutional reconciliation—use exports and statements provided in-app where available.
Regulatory and legal refinement. NAV definitions and accounting policy must be signed off by finance and external auditors where required.
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