Fund Profile
Incorporated on : Apr 09 , 2009
Total assets under management ( Cr) :  4,944.33(Mar 31 , 2024)
Type :  Indian Private
Address: :  peerless mansion,3rd floor,1chowringhee square , kolkata700069
Tel No. :  033 - 40185000/022 - 40635000
Fax: :  033 - 40185010.
E-mail: :  mf@navi.com
Registrar : NA
Scheme Details
Scheme Name Category Asset Size Cr. Asset Date NAV NAV Date Fund Manager
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 20.08 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 20.00 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 20.01 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 20.00 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 20.00 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 20.00 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 18.04 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 18.04 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 18.04 23-Apr-2024 Aditya Mulki
Navi Aggressive Hybrid... Equity - Diversified 101.74 31-Mar-2024 18.04 23-Apr-2024 Aditya Mulki
BSE
Wednesday, 24 April 2024 | EOD 5 mins delay SENSEX 73,852.94  114.49 ( +0.16%)  |   {{d.cmpname}} {{d.price}} [{{d.PerChg}}%] |