Mutual Fund
SEOS NAV drops to Rs 9.83; SIGS-1 falls to Rs 17.93
Friday, May 8, 2015
NAV of Nabil Balance Fund-1 drops to Rs 15.69, NIBL Samriddhi Fund-1 to Rs 9.82
Wednesday, May 6, 2015
NMB Sulav Investment Fund-1 reports NAV of Rs 10.11
Tuesday, April 21, 2015
NIBL Capital Markets, Garjang Valley sign IPO pact
Friday, April 3, 2015
Laxmi Value Fund-1 allotment result out; 100% for applicants of units worth up to Rs 50,000
Thursday, March 26, 2015
NMB Sulav Investment Fund-1, Nabil Balanced Fund-1 post slight fall in NAV
Wednesday, March 25, 2015
Laxmi Value Fund-1 allotment tomorrow; 100% for applicants of units worth up to Rs 50,000
Wednesday, March 25, 2015
NMB Sulav Investment Fund-1 NAV climbs to Rs 10.37; investment in listed shares at Rs 47.32 cr
Friday, February 27, 2015
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