Glossary
NAV Strike
A NAV strike is the calculation point when a fund's net asset value is determined for subscriptions, redemptions, or reporting.
Plain-English meaning
NAV Strike is used here to describe moment when fund value is set. In the daily board, the word is grouped by the role it performs rather than by spelling or market popularity.
You may encounter it in a product interface, technical document, risk report, policy paper, or market dashboard. The term is included for recognition and comparison, not as a product recommendation.
Why it belongs with Tokenized Cash Management
These concepts describe how cash balances, fund values, and yield-bearing instruments can be tracked without making an investment recommendation.
When solving the puzzle, compare the job this term performs with nearby cards. A correct group usually shares a function, risk type, workflow, or market structure rather than simply sharing similar wording.
Where you might see it
You might encounter this term while reading educational explainers, product documentation, risk disclosures, market dashboards, or beginner guides. Always separate vocabulary learning from financial decision-making.