Reports

September 30, 2022 / Analysis, Company, Company Reports, NEWS

Sanima Equity Fund (SAEF) Posts Gross Loss Of Rs. 5.86 Crores

September 30, 2022 | Investopaper Sanima Equity Fund (SAEF) has reported a Net Asset Value (NAV) of Rs 13.95 until...
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September 30, 2022 / Company Reports, NEWS, Stock Market

‘NMB 50’ Reports Net Asset Value (NAV) Of Rs. 10.75

September 30, 2022 | Investopaper NMB 50, a mutual fund scheme operated by NMB Capital Limited, has reported a Net...
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September 30, 2022 / Company Reports, NEWS

NAV Of Global IME Sammunat Scheme-1 (GIMES1) Falls To Rs. 9.30

September 30, 2022 | Investopaper Global IME Sammunat Scheme-1 (GIMES1) has reported a Net Asset Value (NAV) of Rs 9.30...
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September 30, 2022 / Company Reports, NEWS

Sunrise First Mutual Fund (SFMF) Reports Net Asset Value Of Rs. 11.32

September 30, 2022 | Investopaper Sunrise First Mutual Fund (SFMF) has reported a Net Asset Value (NAV) of Rs 11.32...
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September 30, 2022 / Company Reports, NEWS

Global IME Balanced Fund-1 Reports Fall In NAV In Bhadra

September 30, 2022 | Investopaper Global IME Balanced Fund-1 (GIBF1) has reported a Net Asset Value (NAV) of Rs 9.80...
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September 30, 2022 / Company Reports, NEWS

Sanima Large Cap Fund (SLCF) Reports NAV Of Rs 8.70

September 30, 2022 | Investopaper Sanima Large Cap Fund (SLCF) has reported a Net Asset Value (NAV) of Rs 8.70...
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September 29, 2022 / Company Reports, NEWS, Stock Market

Laxmi Unnati Kosh (LUK) Posts Gross Loss Of Rs. 9.43 Crores

September 29, 2022 | Investopaper Laxmi Unnati Kosh (LUK) has reported a Net Asset Value (NAV) of Rs 9.88 until...
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September 29, 2022 / Company Reports, NEWS

Citizens Mutual Fund-2 (CMF2) Reports Fall In NAV In Bhadra

September 29, 2022 | Investopaper Citizens Mutual Fund-2 (CMF2) has reported a Net Asset Value (NAV) of Rs 9.61 until...
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September 29, 2022 / Company Reports, NEWS

Citizens Mutual Fund-1 (CMF1) Reports NAV Of Rs. 8.90

September 29, 2022 | Investopaper Citizens Mutual Fund-1 (CMF1) has reported a Net Asset Value (NAV) of Rs 8.90 until...
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September 28, 2022 / Company Reports, NEWS

Siddhartha Investment Growth Scheme 2 (SIGS2) Reports Investment Of Rs. 93 Crores In Stocks

September 28, 2022 | Investopaper Siddhartha Investment Growth Scheme 2 (SIGS2) has reported a Net Asset Value (NAV) of Rs...
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September 28, 2022 / Company Reports, NEWS

Siddhartha Systematic Investment Scheme Posts Gross Loss Of Rs. 37.30 Lakhs

September 28, 2022 | Investopaper Siddhartha Systematic Investment Scheme has reported a Net Asset Value (NAV) of Rs 7.94 until...
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September 27, 2022 / Company Reports, NEWS, Stock Market

Kumari Equity Fund (KEF) Reports NAV Of Rs 10.28

September 27, 2022 | Investopaper Kumari Equity Fund (KEF) has reported a Net Asset Value (NAV) of Rs 10.28 until...
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September 27, 2022 / Company Reports, NEWS

Kumari Dhanabriddhi Yojana (KDBY) Posts Gross Profit Of Rs. 43.74 Lakhs

August 26, 2022 | InvestopapeSeptember 27, 2022 | Investopaper Kumari Dhanabriddhi Yojana (KDBY) has reported a Net Asset Value (NAV)...
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August 31, 2022 / Company Reports, NEWS, Stock Market

Sunrise Bluechip Fund (SBCF) Reports NAV Of Rs 8.86

August 31, 2022 | Investopaper Sunrise Bluechip Fund (SBCF) has reported a Net Asset Value (NAV) of Rs 8.86 until...
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August 30, 2022 / Company Reports, NEWS, Stock Market

NIC Asia Growth Fund (NICGF) Posts Gross Profit Of Rs. 11.38 Crores

August 30, 2022 | Investopaper NIC Asia Growth Fund (NICGF) has reported a Net Asset Value (NAV) of Rs 12.85...
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August 30, 2022 / Company Reports, NEWS

Nabil Balanced Fund-2 (NBF2) Reports Net Asset Value Of Rs. 10.72

August 30, 2022 | Investopaper Nabil Balanced Fund-2 (NBF2) has reported a Net Asset Value (NAV) of Rs 10.72 until...
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August 30, 2022 / Company Reports, NEWS

NIBL Pragati Fund (NIBLPF) Reports NAV Of Rs. 10.42

August 30, 2022 | Investopaper NIBL Pragati Fund (NIBLPF) has reported a Net Asset Value (NAV) of Rs 10.42 until...
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August 30, 2022 / Analysis, Company, Company Reports, NEWS

NAV Of Nabil Equity Fund (NEF) Drops To Rs. 10.54

August 30, 2022 | Investopaper Nabil Equity Fund (NEF) has reported a Net Asset Value (NAV) of Rs 10.54 until...
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August 30, 2022 / Company Reports, NEWS, Stock Market

NIC Asia Balanced Fund (NICBF) Reports Increase In NAV

August 30, 2022 | Investopaper NIC Asia Balanced Fund (NICBF) has reported a Net Asset Value (NAV) of Rs 12.19...
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August 30, 2022 / Company Reports, NEWS

NMB Hybrid Fund L-1 (NMBHF1) Posts Gross Loss Of Rs. 2.30 Crores

August 30, 2022 | Investopaper NMB Hybrid Fund L-1 (NMBHF1), a mutual fund scheme operated by NMB Capital Limited, has...
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August 30, 2022 / Analysis, Company Reports, NEWS

NIC Asia Select-30 (NICSF) Reports Rise In NAV

August 30, 2022 | Investopaper NIC Asia Select-30 (NICSF), a mutual fund scheme operated by NIC Asia Capital Limited, has...
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August 30, 2022 / Company Reports, NEWS

NIC Asia Dynamic Debt Fund Reports Gross Profit Of Rs.1.40 Crores

August 30, 2022 | Investopaper NIC Asia Dynamic Debt Fund, a mutual fund scheme operated by NIC Asia Capital Limited,...
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