Report the ad
Know Latest NAV of Mutual Funds - Mumbai
Tuesday, 16 November, 2021
No photo
Item details
City:
Mumbai, Maharashtra
Offer type:
Offer
Item description
NAV represents the price at which a mutual fund may be bought by an investor or sold back to a fund house. A mutual fund’s NAV is an indicator of its market value. Therefore, NAV can be viewed to assess the current performance of a mutual fund. By determining the percentage increase or decrease in the NAV of a mutual fund, an investor can calculate the increase or decrease in its value over time. A mutual fund’s NAV is usually calculated by a fund accounting firm hired by the mutual fund or the mutual fund house itself. It is mandatory, as per SEBI guidelines, that all mutual funds publicly display their NAV by updating it on the AMC & AMFI website on every business day. Visit - Mf.nipponindiaim.com/investor-services/navs