Yahoo India Web Search

Search results

  1. Jun 25, 2024 · Update on Implementation of KRA Communique 182. Stay updated with important announcements, regulatory changes, and other relevant information.

    • Currency

      One can trade in the multiples of the above lots both in...

    • Commodity

      Commodity Market Trading - Start Trading on Commodities with...

    • Mutual Funds

      Flexible investment options: You can choose the plan that...

    • Tax Free Bonds

      If you want to earn interest on your invested capital...

  2. www.kotaksecurities.com › mutual-funds › kotakKotak Pioneer Fund

    Jul 5, 2024 · Kotak Mutual Fund stands as a significant player among India's AMCs, with Kotak Mahindra Asset Management Company Limited (KMAMC) serving as its designated asset manager. The ownership of the fund house rests with Kotak Mahindra Bank Limited, which commenced its mutual fund investment operations in June 1998.

  3. www.kotaksecurities.com › margin_requirement › CashCash - Kotak Securities

    4 days ago · Just write the bank account number and sign in the application form to authorise your bank to make payment in case of allotment. No worries for refund as the money remains in investor's account.

  4. www.kotaksecurities.com › mutual-funds › kotakKotak Equity Savings Fund

    6 days ago · NAV stands for net asset value, where the performance of a mutual fund is derived by its NAV per unit. NAV per unit is the market value of securities in a scheme, divided by the total number of units in the scheme on a given date. The Net Asset Value of Kotak Equity Savings Fund is ₹24.77

  5. www.kotaksecurities.com › mutual-funds › kotakKotak Liquid Fund

    6 days ago · Kotak Mutual Fund stands as a significant player among India's AMCs, with Kotak Mahindra Asset Management Company Limited (KMAMC) serving as its designated asset manager. The ownership of the fund house rests with Kotak Mahindra Bank Limited, which commenced its mutual fund investment operations in June 1998.

  6. Jul 5, 2024 · What is the NAV of HDFC Index Fund Nifty 50 Plan. NAV stands for net asset value, where the performance of a mutual fund is derived by its NAV per unit. NAV per unit is the market value of securities in a scheme, divided by the total number of units in the scheme on a given date.

  7. People also ask

  8. 6 days ago · Account would be open after all procedure relating to IPV and client due diligence is completed. ICICI Securities Ltd. (I-Sec). Registered office of I-Sec is at ICICI Securities Ltd. - ICICI Venture House, Appasaheb Marathe Marg, Mumbai - 400025, India, Tel No: 022 - 6807 7100, Fax: 022 - 6807 7803. Composite Corporate Agent License No.CA0113.

  1. People also search for