Mutual Fund
Nabil Equity Fund records meager growth in NAV; NAV stands at Rs 8.71 for the month of Bhadra
Wednesday, September 26, 2018
Last day to hold NIBL Samriddhi Fund-1 to claim 12% cash dividend
Thursday, September 6, 2018
Laxmi Value Fund-1 and Laxmi Equity Fund’s NAV stand at Rs 10.78 and Rs 8.67 respectively
Wednesday, August 29, 2018
See the major highlights of both mutual funds managed by NIBL Ace Capital for the month of Shrawan
Wednesday, August 29, 2018
Net loss of Global IME Samunnat Scheme-1 reported as Rs 8.34 crore; NAV stands at Rs 8.63
Tuesday, August 28, 2018