- Units will be allotted based on the Net Asset Value (NAV) on the date of allotment.
- There is no Bid-Offer spread.
- The NAV will be computed on daily basis and will be based on investment performance, Fund Management Charge and whether the fund is expanding or contracting.
Friday, January 22, 2010
### Method of Calculation of Unit price..............
### Method of Calculation of Unit price..............
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