The NAV of a fund is nothing but the current total asset value after negating the current total liabilities of a particular scheme and dividing it by the number of units issued by the AMC under that particular fund.
from The Financial ExpressThe Financial Express https://ift.tt/2LRgafb
from The Financial ExpressThe Financial Express https://ift.tt/2LRgafb
How to factor in returns in a mutual fund investment
Reviewed by TUNI ON LINE CENTER AMBIKAPUR
on
अगस्त 01, 2018
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