NAV is projected to rise to $0.0007786 by 2027, a +10% move from its current price of $0.000711. NAV is currently trading below its 50-day average (a bearish sign). Technical indicators currently lean strong sell. Market sentiment sits at 28/100 (Fear) on the Fear & Greed Index.
A data-driven summary — not financial advice. See the full breakdown below.
Live market data via CoinGecko & CoinMarketCap · updated 8/1/2026
| Period | Min | Prediction | Max | Change |
|---|---|---|---|---|
| Aug 4 | $0.0006257 | $0.0007132 | $0.0008129 | +0.31% |
| Aug 5 | $0.0005945 | $0.0007154 | $0.0008608 | +0.61% |
| Aug 6 | $0.000572 | $0.0007176 | $0.0009001 | +0.92% |
| Aug 7 | $0.000554 | $0.0007198 | $0.0009351 | +1.23% |
| Aug 8 | $0.0005388 | $0.000722 | $0.0009674 | +1.54% |
| Aug 9 | $0.0005256 | $0.0007242 | $0.0009978 | +1.85% |
| Aug 10 | $0.0005138 | $0.0007264 | $0.001027 | +2.16% |
| Period | Min | Prediction | Max | Change |
|---|---|---|---|---|
| Week 1 | $0.0005138 | $0.0007264 | $0.001027 | +2.16% |
| Week 2 | $0.0004548 | $0.0007421 | $0.001211 | +4.37% |
| Week 3 | $0.0004162 | $0.0007581 | $0.001381 | +6.63% |
| Week 4 | $0.0003875 | $0.0007745 | $0.001548 | +8.93% |
| Week 5 | $0.0003648 | $0.0007913 | $0.001716 | +11.29% |
| Week 6 | $0.0003462 | $0.0008084 | $0.001888 | +13.69% |
| Week 7 | $0.0003304 | $0.0008258 | $0.002064 | +16.15% |
Short-term targets derived from the forecast trend and recent volatility. Highly uncertain — not financial advice.
NAV is a regulated on-chain hedge fund that provides Structured Investment Products (SIPs) tailored for high-growth opportunities in DeFi. NAV combines institutional-grade portfolio management with on-chain transparency, allowing investors to access narrative-driven strategies, cross-chain yield maximization, and innovative staking models.
The fund actively manages risk through dynamic asset allocation, liquid staking, and leveraged yield strategies, ensuring optimized performance in both bullish and bearish market conditions.
NAV (NAV) is currently priced at $0.000711 with a market cap of $711.02K, and it ranks 5207 by market capitalization. This places it as a smaller-cap asset within the DeFi-focused sector.
The asset has traded as high as $0.049 and as low as $0.000405 in its history, illustrating substantial price movement over time. The 30-day price range is $0.0003176 to $0.001592, highlighting near-term volatility.
Near-term technicals show NAV trading around moving averages, with SMA50 at $0.000827 and SMA200 at $0.001725. Support sits at $0.000417 and resistance at $0.00218, framing a defined range for near-term moves.
The current technical tone is bearish, and the asset exhibits high volatility, with annualized volatility at 300%.
A major floor 41.3% below — a decisive break under it would weaken the trend.
The nearest floor, 41.3% below — buyers have tended to step in here.
The nearest ceiling, 206.6% above — a clean break opens room to run.
A major ceiling 303.9% above — clearing it would confirm fresh momentum.
Key NAV support and resistance from recent price action — levels where the trend has historically paused or reversed. Percentages are the distance from the current price.
A snapshot of NAV market posture derived from its technical indicators and recent volatility. Higher trend and alignment lean bullish; higher risk means larger swings.
Technical Analysis
Indicators computed on daily closing prices.
| Period | SMA | Action | EMA | Action |
|---|---|---|---|---|
| MA 5 | $0.0007429 | Sell | $0.0007726 | Sell |
| MA 10 | $0.0009035 | Sell | $0.0008486 | Sell |
| MA 20 | $0.0008833 | Sell | $0.000877 | Sell |
| MA 50 | $0.000827 | Sell | $0.0008871 | Sell |
| MA 100 | $0.0009365 | Sell | $0.001236 | Sell |
| MA 200 | $0.001725 | Sell | $0.002539 | Sell |
| Name | Value | Action |
|---|---|---|
| RSI (14) | 45.98 | Neutral |
| Stoch RSI (14) | 35.29 | Neutral |
| CCI (20) | -31.12 | Neutral |
| Williams %R (14) | -82.29 | Info |
| MACD (12,26,9) | -0.00 | Sell |
| ROC (12) | 74.87 | Buy |
| Bollinger %B (20,2) | 0.42 | Neutral |
| Stochastic %K (14) | 17.71 | Buy |
| TRIX (15) | 0.73 | Buy |
| Awesome (5,34) | -0.00 | Sell |
| Ultimate (7,14,28) | 30.34 | Neutral |
| Momentum (10) | -0.00 | Sell |
| Aroon Osc (25) | 4.00 | Buy |
| Hull MA (9) | 0.00 | Buy |
| ADX (14) | 16.45 | Neutral |
| ATR (14) | 0.00 | Info |
In the last 30 days, NAV traded within a range of $0.0003176 to $0.001592.
The near-term picture shows a bearish tilt, with RSI14 at 50. The SMA50 sits at $0.000827 and the SMA200 sits at $0.001725, defining a crossover backdrop that can influence short-term moves. The key support is at $0.000417 and the nearest resistance is at $0.00218, outlining the immediate hurdle to upside.
| Year | Min | Avg | Max | ROI | Sentiment |
|---|---|---|---|---|---|
| $0.000417 | $0.000711 | $0.001423 | 0% | Neutral | |
| $0.0005507 | $0.0007786 | $0.001193 | +10% | Neutral | |
| $0.0004444 | $0.000676 | $0.001113 | -5% | Neutral | |
| $0.0002863 | $0.0004638 | $0.0008058 | -35% | Bearish | |
| $0.0004861 | $0.0008341 | $0.001515 | +17% | Neutral | |
| $0.0007171 | $0.001299 | $0.002452 | +83% | Bullish | |
| $0.0003817 | $0.0007288 | $0.001422 | +3% | Neutral | |
| $0.0002506 | $0.0005033 | $0.001012 | -29% | Bearish | |
| $0.0004886 | $0.001032 | $0.002132 | +45% | Bullish | |
| $0.0005472 | $0.001214 | $0.002573 | +71% | Bullish | |
| $0.0006984 | $0.001552 | $0.003569 | +118% | Bullish | |
| $0.0008434 | $0.001874 | $0.004311 | +164% | Bullish |
Current year — the forecast is anchored to the live price, so ROI shows 0%.
| Month | Min | Avg | Max | Change |
|---|---|---|---|---|
| August 2026 | $0.000417 | $0.000711 | $0.0009452 | +0.00% |
| September 2026 | $0.0006295 | $0.0007732 | $0.0009955 | +8.74% |
| October 2026 | $0.0007529 | $0.0009395 | $0.001237 | +21.51% |
| November 2026 | $0.0008526 | $0.001078 | $0.001445 | +14.72% |
| December 2026 | $0.0008168 | $0.001045 | $0.001423 | -3.04% |
Click any year to see its month-by-month NAV forecast. Min / Avg / Max are a bear / base / bull scenario; ROI is the projected move from the current price. Change is the month-over-month move in the average. Estimates, not guarantees.
By 2026, NAV could reach as high as $0.001423, with a base case around $0.000711 and support toward $0.000417 — roughly 0% from $0.000711. Price action looks broadly range-bound.
Expect NAV to range from $0.0005507 to $0.001193 through 2027. The $0.0007786 average target implies a +10% move from current prices. That is up +10% on the projected 2026 average. A consolidation phase looks the most probable path here.
The NAV price prediction for 2028 points to an average of $0.000676 (low $0.0004444, high $0.001113) — a potential decline of -5% on today's $0.000711. Price action looks broadly range-bound.
In 2029, NAV is projected to trade between $0.0002863 and $0.0008058, averaging $0.0004638 — a potential decline of -35% from today's $0.000711. That is -31% versus the projected 2028 average. Expect choppier, lower action through this leg of the cycle.
NAV's 2030 outlook centres on $0.0008341, within a $0.0004861 to $0.001515 range. That is up +80% on the projected 2029 average. That marks a +17% change versus current levels. Price action looks broadly range-bound.
By 2031, NAV could reach as high as $0.002452, with a base case around $0.001299 and support toward $0.0007171 — roughly +83% from $0.000711. Buyers look set to stay in control over this stretch.
Expect NAV to range from $0.0003817 to $0.001422 through 2032. The $0.0007288 average target implies a +3% move from current prices. That is -44% versus the projected 2031 average. Price action looks broadly range-bound.
The NAV price prediction for 2033 points to an average of $0.0005033 (low $0.0002506, high $0.001012) — a potential decline of -29% on today's $0.000711. Expect choppier, lower action through this leg of the cycle.
In 2034, NAV is projected to trade between $0.0004886 and $0.002132, averaging $0.001032 — a potential gain of +45% from today's $0.000711. That is up +105% on the projected 2033 average. Momentum favours further upside here.
NAV's 2035 outlook centres on $0.001214, within a $0.0005472 to $0.002573 range. That is up +18% on the projected 2034 average. That marks a +71% change versus current levels. Buyers look set to stay in control over this stretch.
By 2040, NAV could reach as high as $0.003569, with a base case around $0.001552 and support toward $0.0006984 — roughly +118% from $0.000711. Momentum favours further upside here.
Expect NAV to range from $0.0008434 to $0.004311 through 2050. The $0.001874 average target implies a +164% move from current prices. That is up +21% on the projected 2040 average. Buyers look set to stay in control over this stretch.
Investing $1,000 in NAV today (≈ 1,406,430.198869 NAV) could be worth
$2,636.04
+$1,636.04 (+164%) by 2050 · US Dollar
Based on the average projected NAV price of $0 in 2050.
Based on the base (average) forecast scenario. FX rates are indicative. Estimates only — not financial advice.
See what a past investment in NAVwould be worth at today's price.
$1,000 invested in NAV on Aug 2, 2025 (≈ 278,899.300664 NAV) would be worth
$198.3
-$801.7 (-80.2%) today · 0.20× · US Dollar
Based on a NAV entry price of $0.003586 vs. today's $0.000711.
| Invested | Entry price | Value today | Return |
|---|---|---|---|
| 1 week ago | $0.000717 | $992.25 | -0.8% |
| 1 month ago | $0.00048 | $1,480.01 | +48.0% |
| 3 months ago | $0.00084 | $846.64 | -15.3% |
| 6 months ago | $0.002259 | $314.81 | -68.5% |
| All time ago | $0.003586 | $198.3 | -80.2% |
Past performance from historical market data — it does not predict future results. FX rates are indicative. Not financial advice.
Enter a price to see how it sits against our NAV forecast.
Our base-case forecast reaches $0.0014 around 2040.
Implied market cap at $0.0014: $1.4M
Looking ahead, the multi-year forecast sketches a varied path with different yearly outcomes. For 2030, the average price is $0.0008341 with a 17.3% ROI, and a range from $0.0004861 to $0.001515, indicating neutral sentiment.
In 2040, the average price is $0.001552 with an 118.3% ROI, and a range from $0.0006984 to $0.003569, with a bullish sentiment.
By 2050, the forecast shows an average of $0.001874 and a 163.6% ROI, ranging from $0.0008434 to $0.004311, also bullish.
Across the horizon, the forecast includes notable years such as 2031 with an 82.7% ROI and bullish sentiment, and other bullish years like 2034 (45.1% ROI) and 2035 (70.8% ROI). It also flags bearish years such as 2029 (-34.8% ROI) and 2033 (-29.2% ROI). The path reflects high volatility, underscored by an annualized volatility of 300%, and highlights that large gains or losses are possible over the long term.
Tap a question to reveal the answer.
The 2030 forecast shows an avg of $0.0008341 with a 17.3% ROI, a min of $0.0004861, and a max of $0.001515.
The forecast features mixed signals: 2030 is neutral with a positive potential, 2040 and 2050 are bullish with ROIs of 118.3% and 163.6% respectively, while some years such as 2029 and 2033 are bearish.
No. The 2050 max forecast is $0.004311, which is below $0.01.
Current price is $0.000711 and market cap is $711.02K.
The 30-day range is $0.0003176 to $0.001592.
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