Mutual Fund of Garima Capital Unveils the NAV Report for the Month of Falgun

Tue, Mar 18, 2025 10:16 AM on Latest, Mutual Fund,

"Garima Samriddhi Yojana (GARIMA)" has published its monthly NAV report for the month of Falgun. It is a 10-year closed-end mutual fund scheme managed by Garima Capital Limited.

According to the financial report published today, the fund scheme’s NAV stands at Rs. 10.03 as of Falgun's end, 2081 which was Rs. 10.03 in the month before that.

The scheme, which began with a fund size of Rs. 1.25 Arba, has invested Rs. 63.01 crores in the shares of listed companies. It has invested Rs. 29.82 Crores in the bank balance.

The fund is at a net profit of Rs. 37.42 lakhs in Falgun. In the month before that, it was at a net profit of Rs. 40.49 lakhs.

Report: