All mutual funds have to disclose
their NAVs daily, by posting it on the
AMFI web site.
true or false
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NAV is required to be disclosed by the mutual funds on a daily basis. The NAV per unit of all mutual fund schemes have to be updated on AMFI‟s website and the Mutual Funds‟ website by 9 p.m. of the same day. Fund of Funds are allowed time till 10 a.m. the following business day to update the information.
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All mutual funds have to disclose
their NAVs daily, by posting it on the
AMFI web site.
true or false
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