Nav of hdfc capital builder fund
My investment would be worth 2,41, with a Gain of % Start SIP MF Portfolio Check out the summarised asset allocation along with detailed holdings of stocks in case of Equity . Now for the growth option, today's. Let's take an example, a mutual fund was priced (NAV) at Rs one year back and fund gave 20% returns in last 1 year. Once you invest in mutual funds, your money is further invested in stocks and bonds by mutual fund managers. Mutual Fund NAV is the. Nov 04, · NAV is declared once each day generally at the end of the day. Fund Manager Mr. Gopal Agrawal (Since January 13, ) Collectively over 17 years of experience in Fund Management and 2 years in Equity Research View other funds Managed . Current NAV: The Current Net Asset Value of the HDFC Capital Builder Value Fund as of Nov 04, is Rs for Growth option of its Regular. 1.