In case of winding up of a scheme, the mutual funds pay a sum based on prevailing NAV after adjustment of expenses. Unitholders are entitled to receive a report on winding up from the mutual funds which give all necessary details.
How do I allocate the fund to my MF account on Fyers Direct?
How to invest in SIPs or a lump sum?
What is the Bank Mandate?
How do I add the BSE MF segment to my existing trading account?
How do I check whether BSE MF segment is enabled in my account?
What does switch mean?