IPO STATUS Lead managers Analytical tool developed to enhance the convenience of BRLMs KREATION Fintracks Dealing in Company’s shares by Directors or employees based on Inside information which can materially impact the share price FINTRACKS
Net Asset Value or NAV is the price of one unit of a fund scheme. It is calculated by adding up the value of all the securities and cash in the fund's portfolio (assets) subtracting the fund's liabilities, and dividing the whole by no. of units issued under that fund. ...