Mutual Funds Of Siddhartha Capital Unveils NAV Report For The Month Of Shrawan
Summary
Siddhartha Capital Limited has released the NAV reports for its mutual fund schemes for the month of Shrawan 2082, showing changes in NAV values and net profits/losses across various funds.
Key Points
- Siddhartha Equity Fund’s NAV decreased slightly to Rs. 12.27 with a net loss of Rs. 78.69 lakhs in Shrawan.
- Siddhartha Systematic Investment Scheme’s NAV fell to Rs. 10.72 with a profit of Rs. 20.15 lakhs during the month.
- Siddhartha Investment Growth Scheme 2 reported NAV at Rs. 12.55 and a net profit of Rs. 69.30 lakhs in Shrawan.
- Siddhartha Investment Growth Scheme 3 showed an NAV of Rs. 12.58 and net profit of Rs. 43.92 lakhs for the month.
