Does a Net Asset Value (NAV) change daily

The Net Asset Value (NAV) can be calculated at any point.

Most funds usually declare their NAV at the end of each working day.

This is why the NAV is seen to change daily as there are changes in the numbers.

In reality the NAV changes as the value of the assets and liabilities of the fund changes.

In equity funds the NAV would thus be changing every few seconds.