NAV Calculation & Updates

The Net Asset Value (NAV) of each vault is updated bi-weekly using:

  • Verified auction data (eBay, PWCC, Goldin)

  • Manual valuation sheets (Excel)

  • Dune dashboards for public transparency

Each update includes:

  • Realized gains from sold assets

  • Updated valuation of held assets

  • Management fees accounted in NAV

📈 All contributors have access to full NAV history via a gated dashboard.

Last updated