Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
Min. investment
5 Year Returns
1000+ mutual funds schemes are listed on the Bajaj Finserv platform.
To access all your mutual fund details, you can check your account statements, visit the fund's official website, or use the Bajaj Finserv platform to check the information about all the mutual fund schemes you have invested in, through the Bajaj Finserv platform.
If a Mutual Fund company faces closure, the trustees must seek SEBI approval for the shutdown, or SEBI itself can instruct the fund's closure. In such instances, investors receive their funds based on the last recorded net asset value before the winding-up process.
The Net Asset Value (NAV) of a mutual fund is calculated by dividing the total value of the fund's assets by the number of outstanding units.
Information on the Net Asset Value (NAV) of mutual funds is readily available on the official websites of fund houses and mutual fund platforms.
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