Calculate the NAV of your AMC

NAVquant is a software that streamlines the Net Asset Value & Fees calculation of your Actively Managed Certificate.

Hero image

By investment managers, for investment managers

Built out of frustration

We managed our investment vehicles for years, and realized that NAV calculation tools were either too rigid, opaque, or simply not adapted to the needs of alternative investment managers.

We built NAVquant to be…

Automated
Save tens of hours getting the NAV and fees calculation done automatically by our software.
Consistent
Establish a consistent process that gives you clarity and reliability.
Verifiable
Verify at any time the correctness of the calculation with a fully detailed and transparent report.

FEATURES

Precision Features. Boutique Flexibility.

Automated NAV and fees calculation

Automated NAV & fees calculation

NAVquant calculates in a consistent and reliable way the Net Asset Value and fees of your security.

Unitholder register & LP interests

NAVquant keeps track of your unitholder registrar. Equalizations are computed to account for LP interests, where performance fees and High-Water Marks are present, enabling seamless multi-series accounting.

Unitholder registrar
Transparency and verifiability

Transparency & verifiability

NAVquant provides detailed reports explaining the calculations, allowing you and other interested parties to verify the correctness. Additionally, the audit trail enhances accountability and security in your organization.

Cloud-based & collaborative

NAVquant is cloud-based, enabling you to access and collaborate within your organization with simplicity.

Cloud-based and collaborative

Ready to Eliminate NAV Headaches?

NAVquant automates the process, ensures accuracy, and gives you full transparency - all in one cloud-based platform.

✅ Trusted by professional investment managers

✅ Built for the complexity of AIFs and AMCs

✅ Designed to meet audit and investor demands

Start Calculatig with Confidence
Cloud-based and collaborative