Mutual Fund
NIBL Samriddhi Fund-1 NAV shows slight increment; rises to Rs 9.984 from last month’s Rs 9.952
Thursday, February 26, 2015
Nabil Balance Fund-1 Net Assest Value (NAV) rises to Rs 16.26
Tuesday, February 24, 2015
‘Laxmi Value Fund-1’ to be closed from today; already oversubscribed
Wednesday, February 18, 2015
‘Laxmi Value Fund-1’ to be opened from today; Golden opportunity for small investors
Thursday, February 12, 2015
NIBL Samriddhi Fund 1 reports NAV of Rs 9.952
Tuesday, February 10, 2015
NIBL Samriddhi Fund-1 listed on NEPSE for trading; expected to trade around Rs 11
Friday, February 6, 2015
‘Laxmi Value Fund-1’ to be opened for public from Magh 29; expected to boost market
Tuesday, February 3, 2015
Siddhartha Investment Growth Scheme -1’s NAV inches up to Rs 17.73 in Poush end
Thursday, January 29, 2015
NMB Sulav Investment Fund - 1 Scheme reports NAV of Rs 10.14
Wednesday, January 28, 2015
