FAQs

Mutual Funds

07 Mar 2003

Net Asset Value is the market value of the assets of the scheme minus its liabilities. The per unit NAV is the net asset value of the scheme divided by the number of units outstanding on the Valuation Date.

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Consulting Off:
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Gudimalkapur, Mehdipatnam, Hyderabad - 500 028 Telangana, India
Contact: sales@mminsurance.in

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Gudimalkapur, Mehdipatnam, Hyderabad - 500 028, Telangana, India
Contact: info@mminsurance.in