What will be the applicable NAV if I sell my mutual fund units today?
The NAV on the given day you sell your units will be the applicable NAV (provided the order is placed before the daily cut-off time for the scheme).
Still need help? Create Ticket
The NAV on the given day you sell your units will be the applicable NAV (provided the order is placed before the daily cut-off time for the scheme).
Still need help? Create Ticket