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Mutual Fund

NMB Sulav Investment Fund-1 & Nabil Balanced Fund -1 reports NAV plunges to Rs 17.51 & Rs 26.33 respectively on Ashwin end

Wednesday, October 26, 2016

NMB Hybrid Fund L-1 mutual fund scheme allotment concludes; Small & Big Investors allotted 83.22 % & 15.77 % respectively; No lottery

Wednesday, October 26, 2016

NMB Hybrid Fund L-1 allotment of 8 crore unit public issue shares today

Tuesday, October 25, 2016

Laxmi Value Fund-1 reports NAV of Rs 13.69 as on Ashwin end; Highest Investment in NTC

Monday, October 24, 2016

NIBSF-1, SIGS1 & SEOS net asset value declined to Rs 16.23, Rs 30.08 & Rs 16.88 & Rs 10.28 respectively on Bhadra end; GIMES1 NAV grew to Rs 10.64

Friday, September 30, 2016

Laxmi Value Fund-1 earning surges by 35.75% to Rs 12.97 crore; NAV rises to Rs 13.61

Thursday, September 29, 2016

Nabil Balanced Fund-1 earns Rs 3.46 crore from loss of Rs 5.23 crore on Bhadra end; NAV increases slightly to Rs 29.38

Tuesday, September 27, 2016

NMB Sulav Investment Fund-1 profit accelerates by 18.93% on Bhadra end; NAV at Rs 17.92

Friday, September 23, 2016

Last day to grab public issue worth Rs 1 arba of Nabil Equity Fund; collected Rs 2.70 arba from 17,000 applicant till third day ;oversubscribed by 2.7 times

Thursday, September 22, 2016

Nabil Equity Fund public issue amassed Rs 1.25 arba from 9,000 applicants till second day; oversubscribed by 1.25 times

Wednesday, September 21, 2016


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