NIBL Samriddhi Fund-1 NAV surges to Rs. 13.16

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March 28: Net asset value (NAV) of NIBL Samriddhi Fund-1 (NIBSF-1) has reported slight increase of Rs 0.57 to Rs 13.16 in Falgun end from Rs. 13.16 of Magh end. According to the financial report published today, income of the company amounted to Rs 56.1 million while outstanding income totaled Rs. 281.7 million. The company has reported a net profit of Rs 318 million for the month of Falgun .

Company has bank reserve of Rs 174.2 million till Falgun end.  

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