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This document is an authorization form allowing designated third-party broker-dealers to apply the net asset value (NAV) for shares of First Investors Funds on behalf of clients, while certifying
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How to fill out First Investors Net Asset Value (NAV) Authorization Form

01
Start by obtaining the First Investors NAV Authorization Form from the official website or through your financial advisor.
02
Fill in your personal information, including your name, address, and contact details.
03
Provide your account number or investment information as required on the form.
04
Specify the type of authorization you are granting, such as access to view NAV details or make changes to your investment.
05
Review any conditions or agreements outlined in the form to ensure you understand your rights and responsibilities.
06
Sign and date the form to confirm your authorization.
07
Submit the completed form according to the instructions provided, whether by mail, email, or an online submission portal.

Who needs First Investors Net Asset Value (NAV) Authorization Form?

01
Investors who have accounts with First Investors and need to authorize access to their Net Asset Value (NAV) information.
02
Financial advisors or representatives acting on behalf of clients who require access to NAV details for investment management.
03
Any individual or entity requiring permission to view or manage NAV-related information for investment purposes.
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"Net asset value," or "NAV," of an investment company is the company's total assets minus its total liabilities. For example, if an investment company has securities and other assets worth $100 million and has liabilities of $10 million, the investment company's NAV will be $90 million.
"Net asset value," or "NAV," of an investment company is the company's total assets minus its total liabilities. For example, if an investment company has securities and other assets worth $100 million and has liabilities of $10 million, the investment company's NAV will be $90 million.
"Net asset value," or "NAV," of an investment company is the company's total assets minus its total liabilities. For example, if an investment company has securities and other assets worth $100 million and has liabilities of $10 million, the investment company's NAV will be $90 million.
Net asset value (NAV) is the value of an investment fund that's determined by subtracting its liabilities from its assets. The fund's per-share NAV is then obtained by dividing NAV by the number of shares outstanding. Per-share NAV is most commonly used with a mutual fund or unit investment trusts.
Local Navigation Certificate means a certificate issued by the PLA to an individual permitting that individual to undertake Shifting Pilotage, Voluntary Movements or Berthing Assistance; Sample 1 Tailor This Clause.
NAV stands for Net Asset Value. The performance of a mutual fund scheme is denoted by its NAV per unit. NAV per unit is the market value of securities of a scheme divided by the total number of units of the scheme on a given date.
The net asset value (NAV) of an ETF represents the value of each share's portion of the fund's underlying assets and cash at the end of the trading day.
Use this form if you are a qualified purchaser as defined in the fund's Prospectus and wish to purchase Class A fund shares without a sales charge.
The NAV is determined by adding up the value of all assets in the fund including assets and cash then subtracting any liabilities and finally dividing that value by the number of outstanding shares in the ETF.
For an ETF, the NAV encompasses the total value of its assets, including cash, shares, bonds, financial derivatives, and other securities, minus any liabilities such as fees, expenses, and potential debt (if the fund utilises leverage), and is calculated once per day.

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The First Investors Net Asset Value (NAV) Authorization Form is a document used to authorize transactions related to the net asset value of investment accounts managed by First Investors.
Individuals or entities that hold investment accounts with First Investors and wish to manage their NAV transactions are typically required to file this form.
To fill out the form, provide your account details, specify the transaction type, sign the form, and submit it as directed by First Investors.
The purpose of the form is to authorize First Investors to process transactions related to your account's net asset value, ensuring your requests are carried out accurately.
The form typically requires your personal information, account number, transaction details, and your signature to confirm authorization.
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