Articles tagged “SEBI Regulation 47”
2 articles.
- Net Asset Value of an Indian mutual fund
Encyclopedic reference on the Net Asset Value (NAV) of Indian mutual funds: definition, regulatory basis, daily computation cycle, cut-off rules, plan and …
- NAV computation methodology for Indian mutual funds
Encyclopedic reference on the daily NAV computation methodology under SEBI MF Regulations and the Eighth Schedule: equity, debt, money market, and derivative …