Know the Performance of the Selected Fund Net Asset Value or NAV is the price of one unit of a fund scheme. It is calculated by adding up the value of all the securities and cash in the fund's portfolio (assets) subtracting the fund's liabilities, and dividing the whole by no. of ...
NPS Trust 2023 Recruitment Notification Out! The National Pension System Trust released a notification for Manager and Assistant Manager posts. A total number of 5 vacancies were released for recruitment. The candidates who wish to apply for the recruitment should know the basic details like important...
and from information provided in the Chairman's Statement and in the Investment Manager's Review. A review of the Company's business, its financial position as at 31 December 2023 and its performance during