Tracking Nifty 50 Index
Current price is close to the real time NAV
Less expense ratio implies better returns over the long term
ETF has not been able to closely match its benchmark returns
ETF has been generating better price return than bank FD
Good time to consider, as ETF is not in overbought zone
Axis Asset Management Company Ltd. is the mutual fund investment wing of Axis Bank, the 3rd largest private bank in India. 74.99% share of the AMC is held by Axis Bank while the rest 24% is held by Schroder Singapore Holdings Private Limited.
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1 hour ago•Moneycontrol
1 hour ago•Moneycontrol
1 hour ago•Moneycontrol
Pursuant to Regulation 39(3) of the Securities and Exchange Board of India (ListingObligations and Disclosure Requirements) Regulations, 2015, we enclose the informationregarding loss of share certificate(s) for 755 (Seven hundred fifty five) shares receivedfrom the shareholder(s) of the Company on May 25, 2022. As required under SEBICircular No. SEBI / HO / MIRSD / MIRSD_RTAMB / P / CIR /2022/8 dated January 25,2022, the Company shall issue ¬タルLetter of Confirmation¬タル to the shareholders aftercompliance of required formalities. | Download
Pursuant to Regulation 39(3) of the Securities and Exchange Board of India (ListingObligations and Disclosure Requirements) Regulations, 2015, we enclose the informationregarding loss of share certificate(s) for 755 (Seven hundred fifty five) shares receivedfrom the shareholder(s) of the Company on May 25, 2022. As required under SEBICircular No. SEBI / HO / MIRSD / MIRSD_RTAMB / P / CIR /2022/8 dated January 25,2022, the Company shall issue ¬タルLetter of Confirmation¬タル to the shareholders aftercompliance of required formalities. | Download
Oil & Natural Gas Corporation Limited has informed the Exchange about press release dated 26-May-2022 titled ONGC to intensify its Exploration Program; investment in exploration to be 150% over next 3 years | Download
Oil & Natural Gas Corporation Limited has informed the Exchange about press release dated 26-May-2022 titled ONGC to intensify its Exploration Program; investment in exploration to be 150% over next 3 years | Download
Final • Div/Share: ₹ 6.25
NAVThe net asset value (NAV) of an ETF is based on the current prices of the stocks/assets in the fund and an actual accounting of the total cash in the fund at the time of calculation. Market price can be different from real time NAV due to late market activity and both tend to converge periodically. A market price close to real time NAV is much better for investment!
Current price is close to the real time NAV