
ETFEquity

Mid Cap

Medium LiquidityAverage daily traded value of the ETF is medium
Key Metrics
Realtime NAVRealtime NAV
₹ 10.22
Expense RatioExpense Ratio
0.05%
Sector Expense RatioSctr Expense Ratio
0.24%
Tracking ErrorTracking Error
1.20%
Sector Tracking ErrorSctr Tracking Error
0.32%
AMC profile
Mirae Asset Financial Group is one of the key players in the Asian financial market. Its asset management wing, the Mirae Asset Global Investments, commenced operation in 1997 and has expanded its business globally in a relatively short span of time.
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See PlansCash Dividend SOLARINDS
Ex. DateMay 27, 2022
Schedule of Analysts/Institutional Investor Meet/Con. Call CUMMINSIND
Announced OnMay 26, 2022
Cummins India Limited has informed the Exchange about Schedule of Analysts/Institutional Investor Meet/Con. Call | Download
Cummins India Limited has informed the Exchange about Schedule of Analysts/Institutional Investor Meet/Con. Call | Download
Recording of Analysts/Institutional Investor Meet/Con. Call ZEEL
Announced OnMay 26, 2022
Zee Entertainment Enterprises Limited has informed the Exchange about Recording of Analysts/Institutional Investor Meet/Con. Call | Download
Zee Entertainment Enterprises Limited has informed the Exchange about Recording of Analysts/Institutional Investor Meet/Con. Call | Download
See all events
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