资讯

The Net Asset Value (NAV) of several equity mutual fund schemes has crossed the Rs 800 mark. As many as seven schemes in the ‘Equity’ category and one in the ‘Hybrid’ category have NAVs of over Rs ...
Debt funds can offer stability, but they are not risk-free — understanding the pitfalls and strategies to manage them is key ...
A mutual fund does not have a "share price" like a stock. Rather, its price is the net asset value (NAV). NAV is calculated after adding the market value of all the securities and is then divided by ...
If you’re a mutual fund or ETF investor, then you need to know about net asset value. Here’s the basics.
Net Asset Value or simply NAV is the price at which an investor buys a mutual fund shares from a mutual fund company or sell them to a mutual fund company. In more simple terms, the NAV is simply ...
Saurabh Sharma's anxiety over mutual fund NAV dips and mismatched returns highlights a common investor concern. Understanding ...
The buying and selling price of a fund depends on the NAV. This NAV is what a mutual fund investor needs to pay the following day while buying, and this is what a seller will receive for redeeming.
Anytime is good for investing in a good fund when the investment is for a long term, subject to your age, risk appetite and asset allocation.
Investing in debt mutual funds is complex, carrying risks like interest rate, credit/default, and concentration risks.