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Performance of Mutual Fund

This report is prepared on weekly basis. It contains information about Net Asset Value (NAV) of all Mutual Funds compared to last week. It demonstrates information with reference to % change in Price & NAV, Price to NAV and other general information of all Mutual Funds. Performance of AMCs contains information regarding no. of fund managed; NAV in market/cost price of those funds, total fund raised by AMCs and average RSI & MFI for 15 days of those AMCs.