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NAV

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uuid002j77z

Namestring
NAV
Legal namestring
NAV Limited
Company typeenum
Private
Founded yearint
1998
Descriptiontext

NAV Limited is a Hong Kong-based private software company founded in 1998 that provides technology services exclusively to the wealth management industry. The platform consolidates investment data from more than 25 product providers into standardised feeds and delivers a suite of tools covering aggregated client valuations, portfolio modelling, commission and workflow administration, and regulatory compliance support. Its core product set comprises NAV Global (white-labelled online valuations with daily price updates and configurable appearance), NAV Portfolio (modelling tools with automated fund switching and per-investment P&L alerts), NAV Desktop (back-office commission calculation, new business administration, and multi-site deployment with daily data synchronisation), and NAV Data (standardised data feeds for clients' in-house systems), supplemented by modules for email campaign management, client email response capture, MFA authentication, client fact-find and risk profiling, customer care dashboards, lead management, and automated month-end valuation reports. The platform serves financial advisory firms and wealth management companies across Europe, the Middle East, Africa, and Asia, with multi-language support in English, Chinese, and Japanese, and is offered on a subscription basis via direct B2B enterprise sales. NAV maintains GDPR and PDPA compliance and operates from its headquarters at 19/F Hilltop Plaza, 49 Hollywood Road, Central, Hong Kong, supporting over 80 client companies across more than 150 sites with a staff of 11-50 employees.

Short descriptiontext

NAV Limited is a Hong Kong-based private software provider, founded in 1998, delivering subscription-based valuation, portfolio management, commission administration, and data aggregation platforms to wealth management firms and financial advisors across EMEA and Asia.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
11–50
akta.pro rankint
HeadquartersCentral, Hong Kong SAR China
HQ citystring
Central
HQ countrystring
Hong Kong SAR China
HQ regionstring
Asia
Markets served

Serves global market

Offices1 record

Each record includes

City, Country, Type, Description, Source

Keyword5 values
wealth management software, investment valuation platform, portfolio management tools, financial advisor CRM, commission tracking software
Industry3 codes
1Fund Accounting & NAV Calculation
CodeFSAAAMABPrimaryYes
2Fund Accounting & NAV Services (Asset Servicing)
CodeFSAAAOAFPrimaryNo
3Fund Services & NAV Support (Fund Accounting Interfaces)
CodeFSAFALAJPrimaryNo
NAICS code3 codes
  • Software Publishers5132
  • Computing Infrastructure Providers, Data Processing, Web Hosting, and Related Services51821
  • Other Computer Related Services541519
SIC code2 codes
  • Services-Prepackaged Software7372
  • Services-Computer Programming, Data Processing, Etc.7370
Product category
Wealth Management Software
No data
GTM motion1 record

Each record includes

Type, Description, Source

Revenue model1 record
1Software/SaaS Subscription Services
TypeSubscription Recurring
Description

NAV provides its platform as a subscription service to wealth management firms. The platform offers valuation reports, CRM functionality, and reporting tools that financial advisors use to serve their clients.

portal.navglobal.com
Marketing channels2 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels1 record

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components6 values
Technology or R&D, Personnel, Operations, Infrastructure, Marketing or Sales, Others
Pricing details1 tier
1No public pricing tiers disclosed
ModelSubscriptionBilling cadenceMonthly
Notes

Quote-based pricing; no public pricing information available on website

portal.navglobal.com
GTM typeB2B
B2B
Offering typeSoftware
Software
Brand1 of 4 records shown
1NAV Global
Description

Online valuations and investment analysis service providing aggregated valuations updated daily with latest prices, white-labelled access from client websites, and integrated analytical tools.

portal.navglobal.com
+3 more records
Core offering1 text field

NAV Limited provides a web-based software platform for the wealth management industry, delivering aggregated investment valuations, portfolio management, CRM, and reporting functions. The platform aggregates data from 25+ product providers and supports assets including equities, fixed income, mutual funds, structured notes, bank deposits, property, and alternatives such as art and wine. NAV serves 80+ companies across more than 150 sites in Europe, the Middle East, Africa, and Asia, with white-label deployment and multi-language support (English, Chinese, Japanese).

Differentiator
Functional benefit
Problem solved
Product overview1 text field

NAV offers a unified platform with four core products for the wealth management industry: nav global (online valuations and investment analysis), nav portfolio (portfolio management and modelling), nav desktop (new business administration and commission management), and nav data (data aggregation from 25+ product providers). The platform operates as an integrated ecosystem where valuations aggregate client investment data across asset classes (properties, equities, funds, fixed income, structured notes, bank deposits), portfolio tools enable modeling and fund switching, desktop software handles commission workflows and compliance reporting, and data services standardize heterogeneous feeds from financial product providers. Additional modules include Client Email Response, Email Campaign Manager, MFA Authentication, Client Fact Find & Risk Profile, Customer Care, Lead Management System, and automated Valuation Reports.

Product and service4 records
1NAV Global
CategoryInvestment Valuation Platform
Description

Comprehensive online valuation platform providing aggregated investment valuations and analysis for wealth management firms and their clients, with daily price updates, white-label access from the advisor's website, flexible appearance settings, integrated analytical tools with fund fact sheets, document archiving, and user activity tracking.

2NAV Portfolio
CategoryPortfolio Management Software
Description

Advanced portfolio management module for wealth management firms, featuring modelling tools that link to client investments to facilitate fund switching and generate in-depth portfolio fact sheet reports; supports lump sum and regular contribution modelling, reference model linking, automated switch instructions, and performance reporting.

3NAV Desktop
CategoryAdministration and Commission Management Software
Description

Desktop software for new business administration, commission management, workflow automation, and management reporting for wealth management firms; records client personal and investment data, provides multi-level reporting by client/advisor/product/provider, automates commission calculation and reconciliation, and supports multi-location installation with daily data synchronization.

4NAV Data
CategoryData Aggregation Service
Description

Data aggregation and handling service that collects investment data from 25+ product providers and delivers it in standardized formats on configurable schedules, enabling wealth management firms to feed data into their own valuation tools or business applications.

Scale indicator4 records

Each record includes

Type, Value, Description, Source

Recent move6 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight5 records

Each record includes

Type, Description

Peers10 records
TypeBroad incumbent
Description

SS&C-owned advisor reporting, performance and billing platform widely deployed at RIAs. Functional overlap with NAV's portfolio management and back-office modules makes it a primary competitor for larger enterprise accounts.

TypeBroad incumbent
Description

Morningstar's advisor workstation provides research, portfolio analytics and reporting tools for wealth managers. Overlaps with NAV Global/NAV Portfolio especially on multi-asset-class reporting and is a frequent alternative in advisor software evaluations.

TypeDirect peer
Description

Portfolio analytics and reporting platform built for advisors and family offices, with broad asset class coverage including alternatives. Closely comparable to NAV Global's consolidated valuation and reporting capability, particularly for alternative investments like art, wine and structured notes.

TypeBroad incumbent
Description

Large US-listed wealth-tech platform offering portfolio management, reporting, Tamarac rebalancing and CRM for advisors. Competes with NAV at the mid-to-upper end of the advisor market and represents the strategic acquirer profile most likely to consolidate NAV's segment.

TypeDirect peer
Description

Advisor-focused portfolio management, performance reporting and billing platform serving RIAs and broker-dealers. Directly comparable in functionality to NAV Portfolio and NAV Desktop for the wealth management buyer.

TypeDirect peer
Description

Fund accounting and NAV calculation software used by fund administrators and wealth managers. Most direct functional overlap with NAV's core valuation and aggregation workflows from an accounting/NAV perspective.

TypeDirect peer
Description

Australia-headquartered wealth management platform offering SMA/portfolio management, consolidated reporting and data aggregation across multiple product providers. Closest functional analog to NAV Global and NAV Portfolio in the EMEA/Asia wealth advisor segment.

TypeDirect peer
Description

Advisor portfolio rebalancing, performance reporting and billing suite now part of Envestnet. Competes directly with NAV Portfolio and NAV Desktop in mid-market RIA and broker-dealer environments.

TypeEmerging player
Description

Leading CRM and workflow tool for advisors, used by many small-to-mid-sized wealth managers. Adjacent competitor where NAV's customer-care/CRM-style features are bundled into the broader wealth management suite.

TypeEmerging player
Description

Modern CRM purpose-built for financial advisors, integrating with custodial and portfolio systems. Comparable to NAV's Customer Care and CRM-like functionality and a potential integration partner or competitive CRM alternative.

Market position
Strengths5 records

Each record includes

Headline, Details, Source

Weaknesses5 records

Each record includes

Headline, Details, Source

Competitive moat4 records

Each record includes

Type, Details

Key risks6 records

Each record includes

Headline, Details, Source

Key highlights6 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Segment1 record

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile1 record

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
Yes
API detail
Has APIbool
No

Docs URL, Description

Integration2 records

Each record includes

Title, Type, Description, Source

AI maturity
App detail

Has app

Feature4 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
No data
Compliance2 records

Each record includes

Name, Class, Description

Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

NAV

Wealth Management Softwareportal.navglobal.com

NAV Limited is a Hong Kong-based private software provider, founded in 1998, delivering subscription-based valuation, portfolio management, commission administration, and data aggregation platforms to wealth management firms and financial advisors across EMEA and Asia.

What NAV does

NAV Limited is a Hong Kong-based private software company founded in 1998 that provides technology services exclusively to the wealth management industry. The platform consolidates investment data from more than 25 product providers into standardised feeds and delivers a suite of tools covering aggregated client valuations, portfolio modelling, commission and workflow administration, and regulatory compliance support. Its core product set comprises NAV Global (white-labelled online valuations with daily price updates and configurable appearance), NAV Portfolio (modelling tools with automated fund switching and per-investment P&L alerts), NAV Desktop (back-office commission calculation, new business administration, and multi-site deployment with daily data synchronisation), and NAV Data (standardised data feeds for clients' in-house systems), supplemented by modules for email campaign management, client email response capture, MFA authentication, client fact-find and risk profiling, customer care dashboards, lead management, and automated month-end valuation reports. The platform serves financial advisory firms and wealth management companies across Europe, the Middle East, Africa, and Asia, with multi-language support in English, Chinese, and Japanese, and is offered on a subscription basis via direct B2B enterprise sales. NAV maintains GDPR and PDPA compliance and operates from its headquarters at 19/F Hilltop Plaza, 49 Hollywood Road, Central, Hong Kong, supporting over 80 client companies across more than 150 sites with a staff of 11-50 employees.

NAV firmographics

Firmographics
Name
NAV
Legal name
NAV Limited
Website
https://portal.navglobal.com
Company type
Private
Founded year
1998
Operating status
Operating
Headcount range
11–50 employees
Short description
NAV Limited is a Hong Kong-based private software provider, founded in 1998, delivering subscription-based valuation, portfolio management, commission administration, and data aggregation platforms to wealth management firms and financial advisors across EMEA and Asia.
Ownership category
akta.pro rank

NAV industry classification

Industry
Product category
Wealth Management Software
NAICS
Software Publishers (5132), Computing Infrastructure Providers, Data Processing, Web Hosting, and Related Services (51821), Other Computer Related Services (541519)
SIC
Services-Prepackaged Software (7372), Services-Computer Programming, Data Processing, Etc. (7370)
akta.pro primary industry
Fund Accounting & NAV Calculation (FSAAAMAB)
akta.pro secondary industries
Fund Accounting & NAV Services (Asset Servicing) (FSAAAOAF), Fund Services & NAV Support (Fund Accounting Interfaces) (FSAFALAJ)

Keywords

  • Wealth management software
  • Investment valuation platform
  • Portfolio management tools
  • Financial advisor CRM
  • Commission tracking software

Where NAV is headquartered

Location

Headquarters

HQ city
Central
HQ country
Hong Kong SAR China
HQ region
Asia

Offices1 record

Markets served

NAV business model

Business model
GTM type
B2B
Offering type
Software
Cost components
Technology or R&D, Personnel, Operations, Infrastructure, Marketing or Sales, Others

Revenue model

  1. Software/SaaS Subscription Services: NAV provides its platform as a subscription service to wealth management firms. The platform offers valuation reports, CRM functionality, and reporting tools that financial advisors use to serve their clients.

Pricing tiers

ModelBillingPrice
SubscriptionMonthlyNo public pricing tiers disclosed

Go-to-market motion1 record

Distribution channels1 record

Marketing channels2 records

NAV product offering

Product offering

Core offering

NAV Limited provides a web-based software platform for the wealth management industry, delivering aggregated investment valuations, portfolio management, CRM, and reporting functions. The platform aggregates data from 25+ product providers and supports assets including equities, fixed income, mutual funds, structured notes, bank deposits, property, and alternatives such as art and wine. NAV serves 80+ companies across more than 150 sites in Europe, the Middle East, Africa, and Asia, with white-label deployment and multi-language support (English, Chinese, Japanese).

Product overview

NAV offers a unified platform with four core products for the wealth management industry: nav global (online valuations and investment analysis), nav portfolio (portfolio management and modelling), nav desktop (new business administration and commission management), and nav data (data aggregation from 25+ product providers). The platform operates as an integrated ecosystem where valuations aggregate client investment data across asset classes (properties, equities, funds, fixed income, structured notes, bank deposits), portfolio tools enable modeling and fund switching, desktop software handles commission workflows and compliance reporting, and data services standardize heterogeneous feeds from financial product providers. Additional modules include Client Email Response, Email Campaign Manager, MFA Authentication, Client Fact Find & Risk Profile, Customer Care, Lead Management System, and automated Valuation Reports.

Differentiator

Problem solved

Functional benefit

Brands

  • NAV Global: Online valuations and investment analysis service providing aggregated valuations updated daily with latest prices, white-labelled access from client websites, and integrated analytical tools.
  • NAV Portfolio
  • NAV Desktop
  • NAV Data

Products and services

  • NAV Global Comprehensive online valuation platform providing aggregated investment valuations and analysis for wealth management firms and their clients, with daily price updates, white-label access from the advisor's website, flexible appearance settings, integrated analytical tools with fund fact sheets, document archiving, and user activity tracking.
  • NAV Portfolio Advanced portfolio management module for wealth management firms, featuring modelling tools that link to client investments to facilitate fund switching and generate in-depth portfolio fact sheet reports; supports lump sum and regular contribution modelling, reference model linking, automated switch instructions, and performance reporting.
  • NAV Desktop Desktop software for new business administration, commission management, workflow automation, and management reporting for wealth management firms; records client personal and investment data, provides multi-level reporting by client/advisor/product/provider, automates commission calculation and reconciliation, and supports multi-location installation with daily data synchronization.
  • NAV Data Data aggregation and handling service that collects investment data from 25+ product providers and delivers it in standardized formats on configurable schedules, enabling wealth management firms to feed data into their own valuation tools or business applications.

Companies that use NAV

Customer profile

Segments1 record

Ideal customer profiles1 record

NAV technology and API

Technology

Technology focussed Yes

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Integration2 records

Feature4 records

NAV partnerships and signals

Strategic signal

Scale indicators4 records

Recent moves6 records

Expansion highlights5 records

NAV competitors and assessment

Company assessment

Broad incumbents

  • SS&C Advent (Black Diamond): SS&C-owned advisor reporting, performance and billing platform widely deployed at RIAs. Functional overlap with NAV's portfolio management and back-office modules makes it a primary competitor for larger enterprise accounts.
  • Morningstar Advisor Workstation: Morningstar's advisor workstation provides research, portfolio analytics and reporting tools for wealth managers. Overlaps with NAV Global/NAV Portfolio especially on multi-asset-class reporting and is a frequent alternative in advisor software evaluations.
  • Envestnet: Large US-listed wealth-tech platform offering portfolio management, reporting, Tamarac rebalancing and CRM for advisors. Competes with NAV at the mid-to-upper end of the advisor market and represents the strategic acquirer profile most likely to consolidate NAV's segment.

Direct peers

  • Addepar: Portfolio analytics and reporting platform built for advisors and family offices, with broad asset class coverage including alternatives. Closely comparable to NAV Global's consolidated valuation and reporting capability, particularly for alternative investments like art, wine and structured notes.
  • Orion Advisor Tech: Advisor-focused portfolio management, performance reporting and billing platform serving RIAs and broker-dealers. Directly comparable in functionality to NAV Portfolio and NAV Desktop for the wealth management buyer.
  • FundCount: Fund accounting and NAV calculation software used by fund administrators and wealth managers. Most direct functional overlap with NAV's core valuation and aggregation workflows from an accounting/NAV perspective.
  • Praemium: Australia-headquartered wealth management platform offering SMA/portfolio management, consolidated reporting and data aggregation across multiple product providers. Closest functional analog to NAV Global and NAV Portfolio in the EMEA/Asia wealth advisor segment.
  • Tamarac (by Envestnet): Advisor portfolio rebalancing, performance reporting and billing suite now part of Envestnet. Competes directly with NAV Portfolio and NAV Desktop in mid-market RIA and broker-dealer environments.

Emerging players

  • Redtail Technology: Leading CRM and workflow tool for advisors, used by many small-to-mid-sized wealth managers. Adjacent competitor where NAV's customer-care/CRM-style features are bundled into the broader wealth management suite.
  • Wealthbox: Modern CRM purpose-built for financial advisors, integrating with custodial and portfolio systems. Comparable to NAV's Customer Care and CRM-like functionality and a potential integration partner or competitive CRM alternative.

Market position

Strengths5 records

Weaknesses5 records

Competitive moat4 records

Key risks6 records

Key highlights6 records

Customer concentration

NAV compliance and trust

Trust signal

Compliance2 records

NAV financial estimates

Financial estimate

Revenue estimate

Valuation estimate

NAV leadership team

Management profile

Number of profiles

NAV funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

NAV M&A and investment

M&A and investment

M&A

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about NAV

What does NAV do?

NAV Limited provides a web-based software platform for the wealth management industry, delivering aggregated investment valuations, portfolio management, CRM, and reporting functions. The platform aggregates data from 25+ product providers and supports assets including equities, fixed income, mutual funds, structured notes, bank deposits, property, and alternatives such as art and wine. NAV serves 80+ companies across more than 150 sites in Europe, the Middle East, Africa, and Asia, with white-label deployment and multi-language support (English, Chinese, Japanese).

Is NAV a public or private company?

NAV is a private company. It is classified as unknown and is currently operating.

When was NAV founded?

NAV was founded in 1998. It employs 11 to 50 people.

Where is NAV based?

NAV is headquartered in Central, Hong Kong SAR China, in the Asia region.

How does NAV make money?

One revenue line is on record: software/SaaS Subscription Services.

Who are NAV's main competitors?

Broad incumbents on record are SS&C Advent (Black Diamond), Morningstar Advisor Workstation and Envestnet. Direct peers are Addepar, Orion Advisor Tech, FundCount, Praemium and Tamarac (by Envestnet). Emerging players are Redtail Technology and Wealthbox.

Does NAV have an API?

No public API is recorded for NAV.

What industry is NAV in?

NAV's product category is Wealth Management Software. Its primary akta.pro industry code is FSAAAMAB, Fund Accounting & NAV Calculation, with a secondary code of FSAAAOAF, Fund Accounting & NAV Services (Asset Servicing). Its NAICS code is 5132 and its SIC code is 7372.

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