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Mutual Fund

NIC Asia Growth Fund publishes its first NAV report; NAV stands at Rs 9.99 for the month of Chaitra

Thursday, April 26, 2018

NMB Sulav Investment Fund and NMB Hybrid Fund report increase in NAV; NAV stands at Rs 13.26 and Rs 10.32 for the month of Chaitra

Thursday, April 26, 2018

Sanima Equity Fund and Laxmi Equity Fund report NAV for the month of Chaitra at Rs 9.93 and 8.82 respectively

Wednesday, April 25, 2018

Citizen Mutual Fund-1 reports NAV of Rs 10.06 for the month of Chaitra; Mutual Fund earned profit in its second month of its operation.

Tuesday, April 24, 2018

Siddhartha Equity Oriented Scheme report loss in the NAV; Siddhartha Equity Fund’s NAV rises slightly for the month of Chaitra

Tuesday, April 24, 2018

Laxmi Value Fund reports meager increment in NAV for the month of Chaitra; Nabil Bank promoters shares the highest investment made from the fund

Tuesday, April 24, 2018

NEPSE lists 16.55 crore units of two mutual funds; 30 lakh units of NIC Asia Debenture also gets listed

Monday, April 16, 2018

Nabil Balance Fund to mature on Chaitra 29; Nabil Investment Banking to start winding up procedures

Thursday, March 29, 2018

NMB Sulav Investment Fund and NMB Hybrid Fund report decrease in NAV; NAV stands at Rs 13.17 and Rs 10.20 for the month of Falgun

Wednesday, March 28, 2018

Global IME Samunnat Scheme-1 NAV declines to Rs 8.82 in Falgun end; reports loss of Rs 6.55 crore

Wednesday, March 28, 2018


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