How to get Same Day NAV in Sip or Lumpsum Investment in Mutual Funds
Mutual Funds

How to get Same Day NAV in Mutual Funds for Sip or Lumpsum Investment or NPS

If you are a Mutual Fund investor and investing via SIP mode then you might have come across different NAV MF units credited into your folio based on your SIP date, it is because SEBI’s Funds realization-based NAV applicability for all Mutual Fund investments and this was effective from 1st February 2021. Same Day NAV […]