Fund Class : Liquid Funds
Fund House :Navi Mutual Fund
Aum(Rs Cr) : 10.07
% | 1-WEEK | 1-MTH | 6-MTHS | 1-YR | 3-YRS |
---|---|---|---|---|---|
Schemes | 6.6600 | 6.6100 | 9.2700 | 7.9300 | 5.1900 |
Sensex | 66230.2400 | 64996.6000 | 57613.7200 | 56598.2800 | 37981.6300 |
Nifty | 19742.3500 | 19306.0500 | 16951.7000 | 16858.6000 | 11227.5500 |
Types Of Scheme | Dividend |
---|---|
Options | Liquid Funds |
Assets Size (Rs In Cr) | 2999.70 |
Inception Date | 01 Jan 13 |
Fund Manager | Surbhi Sharma |
Minimum Investment | 10.00 |
---|---|
Purchase Redemption | DAILY |
Last Dividend Paid | 0.05(RS) |
Entry Load | 0.00 |
EXIT Load | 0.00 |
Asset Management Co.
Registered Address
Navi Trustee Limited
peerless mansion3rd floor1
chowringhee square kolkata
700069
Phone:033 - 40185000/022 - 40635000 | Fax:033 - 40185010.
Email: mf@navi.com
Website: https://www.navimutualfund.com