NAV of Sanima Equity Fund Logs Slight Growth

Jul 31, 2018 Merolagani

Sanima Equity Funds managed by Sanima Capital, a subsidiary company of Sanima Bank have logged a slight growth in its net asset value (NAV) in the month of Asadh compared to the month of Jestha.

The NAV of Sanima Equity Fund has increased by Rs 0.05 to Rs 10.15 in the month of Asadh compared to Rs 10.10 in the month of Jestha.

The fund has earned Rs 19.1 million in total income in the month of Asadh which was Rs 13.3 million in the month of Jestha.

The fund has invested Rs 331 million in the stocks of 23 companies, Rs 56.9 million in public issue, right and bonus share and Rs 260 million in fixed deposit.

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