Our investment management business generates asset-based fees, which are calculated as a percentage of assets under management. We also sell both admissions and sponsorship packages for our ...
Our investment management business generates asset-based fees, which are calculated as a percentage of assets under management. We also sell both admissions and sponsorship packages for our ...
1. Current NAV: The Current Net Asset Value of the Mirae Asset Liquid Fund - Direct Plan as of Nov 20, 2024 is Rs 2,669.49 for Growth option of its Direct plan. 2. Returns: Its trailing returns over ...
1. Current NAV: The Current Net Asset Value of the Mirae Asset Liquid Fund as of Nov 18, 2024 is Rs 2,624.87 for Growth option of its Regular plan. 2. Returns: Its trailing returns over different time ...
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The investment objective is to seek to provide current income, commensurate with low risk while providing a high level of liquidity through a portfolio of Tri-Party Repo on Government Securities or ...
Total assets used in the calculation of Daily Liquid Assets and Weekly Liquid Assets may include interest receivables as well as other assets, like prepaid expenses. If these interest receivables and ...