Real-time NAV calculation is the ability to produce an accurate, validated net asset value continuously throughout the day rather than waiting for an overnight batch cycle. Under regulatory frameworks like DORA, real-time calculations become a primary point of investor trust and a single workflow whose failure can create reputational, regulatory and financial consequences within hours. […] The post Real-Time NAV: Why Resilience Has to Be Designed from the Ground Up appeared first on FundGuard .