Excel formula

Surinder Singh 0 Reputation points
2026-09-28T23:50:48.2033333+00:00

How can I obtain updated NAV of my mutual fund in Excel sheet whenever I open it?

Microsoft 365 and Office | Excel | Other | Windows
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  1. AI answer

    2026-09-28T23:50:58.9566667+00:00

    Use Excel’s linked data and refresh settings.

    If the mutual fund is available through the Stocks data type:

    1. Enter the fund name or symbol in a cell.
    2. Select the cell.
    3. Go to Data > Stocks to convert it to the Stocks data type.
    4. Extract the value needed, such as price, by using the Add Column button, or reference the field in a formula such as =A2.Price.
    5. To make it update when the workbook opens, click a cell in the external data range, then go to Data > Refresh All > Connection Properties.
    6. On the Usage tab, enable Refresh data when opening the file.

    If needed, the workbook can also be refreshed manually with Data > Refresh All.


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  2. Bulldog 4,760 Reputation points
    2026-09-29T02:00:30.7333333+00:00

    The net asset value of a mutual fund is calculated only once per day, by the mutual fund company, after the markets have closed for the day.

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  3. Thomas4-N 22,380 Reputation points Microsoft External Staff Moderator
    2026-10-02T10:51:50.82+00:00

    Hello Surinder Singh,

    Be careful not to mix up two different Excel features. “Refresh data when opening the file” under Connection Properties applies to an external data connection, not directly to a fund entered using Data > Stocks.

    Could you share the fund name or identifier and tell us whether Data > Stocks finds the correct fund and shows the NAV value you need? If it does, we can check the linked-data-type refresh options available in your version of Excel. If it does not, you would need a source for that fund’s NAV that Excel can import as an external connection; that connection can be set to refresh when the workbook opens.

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