What is the financial impact of the merger on the mutual fund’s Net Asset Value?

Mutual Fund NAV is a factor of the underlying equities or bonds being held by the fund. When two funds are merged the revised NAV of the merged fund will be published taking into account the weights of the underlying stocks and bonds.

With SEBI pushing for fund merger and consolidation the investors will benefit by having less clutter.

Maxiom Wealth — Free Tool

Is Your Mutual Fund Working Hard Enough?

Two funds with similar star ratings can deliver very different outcomes. Use our fund comparison tool to check if you’re in the right scheme for your risk profile and investment horizon.

Compare Funds → Talk to a Financial Advisor

Leave a Reply

Your email address will not be published. Required fields are marked *