PPT-Indian Financial System

PPT-Indian Financial System thumbnail
Net Assets Value The NAV of an investment scheme is a number which represents the value in rupees per fund unit as on a particular date of the assets of the fund

Download Presentation

"Indian Financial System" is the property of its rightful owner. Permission is granted to download and print materials on this website for personal, non-commercial use only, provided you retain all copyright notices. By downloading content from our website, you accept the terms of this agreement.

Presentation Transcript

Transcript not available.

Related Topics