Navi Residencial Fundo De Investimento Imobiliario (BSP:APTO11) Net Current Asset Value: R$5.57 (As of Jun. 2025) — 218% Above Median


BSP:APTO11 Navi Residencial Fundo De Investimento Imobiliario BSP:APTO11
22 GF Score
Price R$8.33
! 4 Warning Signs
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What is Navi Residencial Fundo De Investimento Imobiliario Net Current Asset Value?

Navi Residencial Fundo De Investimento Imobiliario BSP:APTO11 -0.12% 22 Net Current Asset Value is R$5.57 as of Jun. 2025, which is 100% below its 10-year median of 1.75. GuruFocus rates BSP:APTO11 with a GF Score™ of 22/100. The stock has 4 warning signs investors should review. Among 110 REITs companies, Navi Residencial Fundo De Investimento Imobiliario ranks better than 81.82% on this metric.

In calculating the Net Current Asset Value (NCAV), Benjamin Graham means a company's current assets (such as cash, marketable securities, and inventories) minus its total liabilities (including preferred stock, minority interest, and long-term debt).

Navi Residencial Fundo De Investimento Imobiliario's net current asset value per share for the quarter that ended in Jun. 2025 was R$5.57.

The historical rank and industry rank for Navi Residencial Fundo De Investimento Imobiliario's Net Current Asset Value or its related term are showing as below:

BSP:APTO11' s Price-to-Net-Current-Asset-Value Range Over the Past 10 Years
Min: 1.49   Med: 1.75   Max: 1.94
Current: 1.5

During the past 4 years, the highest Price-to-Net-Current-Asset-Value Ratio of Navi Residencial Fundo De Investimento Imobiliario was 1.94. The lowest was 1.49. And the median was 1.75.

BSP:APTO11's Price-to-Net-Current-Asset-Value is ranked better than
81.82% of 110 companies
in the REITs industry
Industry Median: 7.96 vs BSP:APTO11: 1.50

Navi Residencial Fundo De Investimento Imobiliario  (BSP:APTO11) Net Current Asset Value Explanation

Benjamin Graham first discussed net current asset value (NCAV) in the 1934 edition of "Security Analysis", which he coauthored with David Dodd. In the book, (net) current asset value is defined as:" current assets alone, minus all liabilities and claims ahead of the issue."

The common definition of NCAV is: NCAV = current assets – [total liabilities + minority interest + preferred stock]

Net current assets exclude not only the intangible assets but also the fixed and miscellaneous assets. In addition, Graham believed that preferred stock belongs on the liability side of the balance sheet, not as part of capital and surplus. In "Security Analysis", preferred stock is dubbed "an imperfect creditorship position" that is best placed on the balance sheet alongside funded debt.

One research study, covering the years 1970 through 1983 showed that portfolios picked at the beginning of each year, and held for one year, returned 29.4 percent, on average, over the 13-year period, compared to 11.5 percent for the S&P 500 Index. Other studies of Graham’s strategy produced similar results.

Benjamin Graham looked for companies whose market values were less than two-thirds of their Net-Net Working Capital. They are collected under our Net-Net screener.


Navi Residencial Fundo De Investimento Imobiliario Net Current Asset Value Related Terms


Navi Residencial Fundo De Investimento Imobiliario Net Current Asset Value Historical Data

* Premium members only.

The historical data trend for Navi Residencial Fundo De Investimento Imobiliario's Net Current Asset Value can be seen below:

* For Operating Data section: All numbers are indicated by the unit behind each term and all currency related amount are in USD.
* For other sections: All numbers are in millions except for per share data, ratio, and percentage. All currency related amount are indicated in the company's associated stock exchange currency.

Navi Residencial Fundo De Investimento Imobiliario Net Current Asset Value Chart

Navi Residencial Fundo De Investimento Imobiliario Annual Data
Trend Jun22 Jun23 Jun24 Jun25
Net Current Asset Value
5.76 5.15 5.41 5.57

Navi Residencial Fundo De Investimento Imobiliario Semi-Annual Data
Jun22 Jun23 Jun24 Jun25
Net Current Asset Value 5.76 5.15 5.41 5.57

BSP:APTO11 vs EQIX, AMT, DLR: Net Current Asset Value Comparison

For the REIT - Specialty subindustry, Navi Residencial Fundo De Investimento Imobiliario's Price-to-Net-Current-Asset-Value, along with its competitors' market caps and Price-to-Net-Current-Asset-Value data, can be viewed below:

* Competitive companies are chosen from companies within the same industry, with headquarter located in same country, with closest market capitalization; x-axis shows the market cap, and y-axis shows the term value; the bigger the dot, the larger the market cap. Note that "N/A" values will not show up in the chart.


Navi Residencial Fundo De Investimento Imobiliario Price-to-Net-Current-Asset-Value vs REITs Industry

For the REITs industry and Real Estate sector, Navi Residencial Fundo De Investimento Imobiliario's Price-to-Net-Current-Asset-Value distribution charts can be found below:

* The bar in red indicates where Navi Residencial Fundo De Investimento Imobiliario's Price-to-Net-Current-Asset-Value falls into.


BSP:APTO11
22GF Score
Navi Residencial Fundo De Investimento Imobiliario BSP:APTO11
Net Current Asset Value is just one metric. See GF Score™, valuation, warning signs, and more.
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Navi Residencial Fundo De Investimento Imobiliario Net Current Asset Value Calculation

Navi Residencial Fundo De Investimento Imobiliario's Net Current Asset Value (NCAV) per share for the fiscal year that ended in Jun. 2025 is calculated as

Net Current Asset Value Per Share(A: Jun. 2025 )
=(Total Current Assets-Total Liabilities-Minority Interest-Preferred Stock)/Shares Outstanding (EOP)
=(38.274-12.591-0-0)/4.612
=5.57

Navi Residencial Fundo De Investimento Imobiliario's Net Current Asset Value (NCAV) per share for the quarter that ended in Jun. 2025 is calculated as

Net Current Asset Value Per Share(Q: Jun. 2025 )
=(Total Current Assets-Total Liabilities-Minority Interest-Preferred Stock)/Shares Outstanding (EOP)
=(38.274-12.591-0-0)/4.612
=5.57

* For Operating Data section: All numbers are indicated by the unit behind each term and all currency related amount are in USD.
* For other sections: All numbers are in millions except for per share data, ratio, and percentage. All currency related amount are indicated in the company's associated stock exchange currency.

What does a Net Current Asset Value of R$5.57 mean?
Navi Residencial Fundo De Investimento Imobiliario (BSP:APTO11) has a Net Current Asset Value of R$5.57 as of Jun. 2025. Ben Graham's net current asset value equals the per-share value of total current assets less total liabilities. View historical data on Navi Residencial Fundo De Investimento Imobiliario and its competitors. This is 218% above median its historical median of 1.75. Over the past decade, Navi Residencial Fundo De Investimento Imobiliario's Net Current Asset Value has ranged from 1.49 to 1.94. According to the industry distribution chart, Navi Residencial Fundo De Investimento Imobiliario ranks #20 out of 110 companies in the REITs industry, placing it in the top 18.2%.
Is Navi Residencial Fundo De Investimento Imobiliario's Net Current Asset Value too high?
Navi Residencial Fundo De Investimento Imobiliario's current Net Current Asset Value of R$5.57 is 218% above median its 10-year median of 1.75. Over the past 10 years, this metric has ranged from a low of 1.49 to a high of 1.94. Based on the distribution chart, Navi Residencial Fundo De Investimento Imobiliario ranks #20 out of 110 companies in the REITs industry, which is in the top quartile — a strong position relative to peers. Overall, Navi Residencial Fundo De Investimento Imobiliario has a GF Score™ of 22/100, reflecting its overall financial health beyond just this single metric.
How does Navi Residencial Fundo De Investimento Imobiliario's Net Current Asset Value compare to EQIX and AMT?
According to the REITs industry distribution chart, Navi Residencial Fundo De Investimento Imobiliario ranks #20 out of 110 companies for Net Current Asset Value. This places Navi Residencial Fundo De Investimento Imobiliario in the top 18% of its industry — outperforming the majority of peers. The industry median Net Current Asset Value is 7.96. Historically, Navi Residencial Fundo De Investimento Imobiliario's own Net Current Asset Value has ranged from 1.49 to 1.94 over the past decade. See the competitive comparison table and distribution chart on this page for a detailed peer-by-peer breakdown.
What is a good Net Current Asset Value for a REITs company?
The median Net Current Asset Value among REITs companies is 7.96, based on 110 companies in the industry. Companies in the top quartile (top 25%) have a Net Current Asset Value significantly above this median, while those in the bottom quartile fall well below. However, Net Current Asset Value should not be evaluated in isolation — investors should consider it alongside profitability, growth, and financial strength metrics. Use the industry distribution chart on this page to see where any company falls relative to its peers.
What does a high Net Current Asset Value mean?
A high Net Current Asset Value can signal that a stock is expensive relative to its fundamentals. Ben Graham's net current asset value equals the per-share value of total current assets less total liabilities. View historical data on Navi Residencial Fundo De Investimento Imobiliario and its competitors. For the REITs industry, the median Net Current Asset Value is 7.96 — values significantly above this may indicate overvaluation, while values below may suggest a bargain or underlying issues. Navi Residencial Fundo De Investimento Imobiliario's current Net Current Asset Value is R$5.57, which is 218% above median its own 10-year median of 1.75. However, context matters — high-growth companies often justify higher valuations. Always evaluate alongside other metrics like GF Score™ and GF Value™.
Is Navi Residencial Fundo De Investimento Imobiliario stock overvalued right now?
Navi Residencial Fundo De Investimento Imobiliario (BSP:APTO11) has a current Net Current Asset Value of R$5.57. The current Net Current Asset Value is R$5.57, which is 218% above median its 10-year median of 1.75. Navi Residencial Fundo De Investimento Imobiliario's overall GF Score™ is 22/100 with 4 warning signs to review. Investors should evaluate multiple metrics — including profitability, growth, and financial strength — before making a decision.
How is Net Current Asset Value calculated?
Net Current Asset Value is calculated from a company's financial statements. For Navi Residencial Fundo De Investimento Imobiliario (BSP:APTO11), the current Net Current Asset Value is R$5.57 as of Jun. 2025. GuruFocus calculates this using data sourced from SEC filings and annual reports. See the calculation section and 30-year financial data on this page for the full breakdown.

Navi Residencial Fundo De Investimento Imobiliario Business Description

Industry Real EstateREITs
Address RUA ALVES GUIMARAES 1.212 - 1212, PINHEIROS, Sao Paulo, SP, BRA, 5410002
Navi Residencial Fundo De Investimento Imobiliario is a real estate investment fund. The fund was established as a special closed-end fund with an indefinite term and aims to provide shareholders with appreciation and profitability of their shares in the long term, according to the investment policy defined in the regulations, through investments in real estate and financial assets, aiming to generate returns on investments made by shareholders.
22GF Score

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Net Current Asset Value is just one metric. See GF Value™, 30-year financials, guru trades, warning signs, and more.

R$8.33
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