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Around 11 equity mutual funds have experienced a decline exceeding 20% from their 52-week high NAVs, according to an analysis ...
Value mutual funds refer to schemes that follow a value investment strategy, with at least 65 per cent in stocks.
Growth, launched on Sep 28, 2000 is benchmarked to CRISIL Hybrid 85+15 Conservative Index. The riskometer of this fundType is set at Moderately High. Asset Allocation is Equity - 23.7%; Debt - 58.99% ...
And the challenges original efficient-market pioneers faced in their pursuit of truth in finance. On this episode of The Long ...
Explore new thematic mutual funds focusing on business cycles, innovation, and manufacturing sectors for potential investment ...
SEDCO Capital Multi Asset Traded Fundwill pay a cash dividend at 1.6% of capital, or SAR 0.16 per unit, to unitholders for Q1 ...
For the most recent period, the Fund generated a return of -0.47% versus +1.85% for the Fund’s most relevant benchmark, the ...
NAV Scraper is a Python tool that fetches real-time stock and mutual fund NAVs, merges them with holdings data, and stores results in a database or exports to JSON. It supports automated daily updates ...
Rolling returns offer a more consistent evaluation of mutual fund performance by analyzing returns across various timeframes, eliminating biases from specific periods. This method reveals a fund's ...
The Mexico Fund has slightly outperformed its comparable ETF over the long term. The Mexico Fund is trading at a large discount to NAV, though ... long-term performance chart above shows, while ...
Despite global volatility and fluctuating FII sentiment, domestic investors continued to power mutual fund growth. The equity assets under management (AUM) of mutual funds rose 26% year-on-year (YoY) ...
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