Nav-Applicability (3)
| Date | Circular | Tags | |||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
BSE clarifies NAV applicability and unit allotment dates for mutual fund transactions on March 19, 2026 (Gudi Padwa holiday) on the BSE StAR … | |||||||||||||
BSE clarifies NAV applicability and unit allotment dates for mutual fund transactions on March 19, 2026 (Gudi Padwa holiday) on the BSE StAR MF platform, covering Equity, Debt, and Liquid fund categories.
| |||||||||||||
BSE provides transaction acceptance schedule for mutual fund trades on September 5, 2025 (Eid-e-Milad holiday) across different fund … | |||||||||||||
BSE provides transaction acceptance schedule for mutual fund trades on September 5, 2025 (Eid-e-Milad holiday) across different fund categories.
| |||||||||||||
Transaction processing clarifications for mutual fund transactions on Eid-e-Milad holiday September 5, 2025. | |||||||||||||
Transaction processing clarifications for mutual fund transactions on Eid-e-Milad holiday September 5, 2025.
| |||||||||||||