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Mutual Fund

NMB Capital's Hybrid Fund L-1 and NMB50 funds report NAV of Rs 10.11 and Rs 10.15 respectively

Monday, December 30, 2019

Nabil Equity Fund reports NAV of Rs 8.77; Nabil balanced Fund 2 climbs out of loss reporting net profit of Rs 86.59 lakh

Monday, December 30, 2019

NIC Asia Growth Fund and Balanced Fund reports NAV of Rs 9.95 and Rs 10.16 respectively for month of Mangsir

Monday, December 30, 2019

Laxmi Value Fund and Laxmi Equity Fund report rise in NAV for Mangsir; Find other details

Sunday, December 29, 2019

Sanima Equity reports NAV of Rs 9.84 for the month of Mangsir; Net loss declines to Rs 2.45 crore

Sunday, December 29, 2019

Find out the performance of NIBL Samriddhi Fund, Pragati Fund and Sahabhagita Fund for the month of Mangsir; All three fund report improvement

Sunday, December 29, 2019

Both funds managed by Siddhartha Capital report a slight increase in NAV for the month of Mangsir; SEF at Rs 9.91 and SIGS2 at Rs 9.99

Friday, December 27, 2019

NMB Sulav Investment Fund-1 in final stage of liquidation; Urges unit holders to update account and collect cheques from 2072/73

Sunday, December 8, 2019

NMB Sulav Investment Fund I auctioning debentures under its ownership; Auction open from Mangsir 20 to 26

Friday, December 6, 2019

Cutoff price for auctioned promoter and ordinary shares of Muktinath Bikas Bank stand at Rs 150.07 and Rs 291 respectively

Wednesday, December 4, 2019


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