FAQs

Mutual Funds

12 Feb 2003

In case of winding up of a scheme, the mutual funds pay a sum based on prevailing NAV after adjustment of expenses. Unitholders are entitled to receive a report on winding up from the mutual funds which gives all necessary details.

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AMFI Registered Mutual Fund Distributor
ARN – 115558, Validity : 9th October, 2028.
APMI Registered PMS Distributor
APRN03944, Validity : 21st Aug 2029.

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