Mutual Funds Of Siddhartha Capital Unveils NAV Report For The Month Of Chaitra

Summary

Siddhartha Capital Limited's mutual funds have released their Net Asset Value (NAV) reports for the month of Chaitra, showing profits and changes in fund size and investments.

Key Points
  • Siddhartha Equity Fund reported a NAV of Rs. 10.95 for Chaitra with a net loss of Rs. 9.34 crores.
  • Siddhartha Systematic Investment Scheme's NAV increased to Rs. 11.14 with a profit of Rs. 12.99 crores.
  • Siddhartha Investment Growth Scheme 2 showed a NAV of Rs. 11.53 and a profit of Rs. 12.40 crores.
  • Siddhartha Investment Growth Scheme 3 had a NAV of Rs. 12.28 and a net profit of Rs. 11.67 crores for Chaitra.
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