Mutual Fund
Opening Day of 75 million units of Rs 10 face value each of "Nabil Flexi Cap Fund".
Wednesday, November 9, 2022
Book Closure Day for Cash Dividend of Nabil Equity Fund and Nabil Balanced Fund - 2.
Friday, November 4, 2022
Opening Day of 120 million units of Rs 10 face value each of "Sanima Growth Fund".
Wednesday, November 2, 2022
Price Adjusted - NIC ASIA Balanced Fund (NICBF)
Tuesday, November 1, 2022
Price Adjusted- NIC ASIA Growth Fund (NICGF)
Tuesday, November 1, 2022
Book Closure Notice of NICBF & NICGF
Sunday, October 16, 2022
Transactions Suspended of NEF & NBF2
Wednesday, October 12, 2022
Dividend Declaration of NEF & NBF2
Wednesday, October 12, 2022
Price Adjusted- Sanima Equity Fund (SAEF)
Friday, September 23, 2022