Net Asset Value (NAV) = "(Market Value of Investments held by the fund + Value of Any Current Assets - Value of any Current Liabilities & Provisions, if any) Divided by the number of units existing at valuation date (before creation / redemption of any units)" This gives the unit price of the fund under consideration.
Unit Values as on 3 Feb 2012 Search Past Performance
Unit Values will be next updated on 6 Feb 2012
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