TypeAlias.InvestNav
type InvestNav = z.infer<typeof investNavSchema>;
NAV (Net Asset Value) record for an investment fund.
Tracks historical NAV values for fund performance monitoring.
Example
const nav: InvestNav = {
id: "nav_123",
fund: "fund_456",
value: 105.25,
date: new Date("2025-01-15"),
createdAt: "2025-01-15T00:00:00Z",
updatedAt: "2025-01-15T00:00:00Z"
};