Mutual Fund
First monthly report of NMB Hybrid Fund L-1; NAV reaches to Rs 10.02
Wednesday, November 30, 2016
NMB Sulav Investment Fund-1 NAV plunged to Rs 16.86 as on Kartik end; earning surges by 19.70%
Sunday, November 27, 2016
Nabil Balanced Fund-1 Reports Decrease in NAV to Rs 25.33 in Kartik End; Net Loss of Rs 4.37 Crore
Friday, November 25, 2016
Laxmi Value Fund-1 profit dwindled by 12.06% as on Kartik end; NAV at Rs 13.37
Wednesday, November 23, 2016
Nabil Balance Fund-1 distributing 30% cash dividend warrant from today
Monday, November 21, 2016