Latest NAV
Mutual funds work on the basis of NAV (Net Asset Value). It is a value that is calculated on a daily basis after assessing the performance of the particular plan in a day. So, at the end of the day, NAV is calculated and accordingly, the plan performs the next day. You may be wondering how a NAV is calculated and how you can know the NAV of your chosen plan. Well, fret not, we are here to help you out.
This latest NAV tool helps users to know the current NAV of a mutual fund scheme. All you have to do is choose your AMC and the plan that you wish to invest in. Click on Calculate to see the current NAV of the plans.