The redemption price is the price received on selling units of the open-ended scheme. If the fund does not levy an exit load, the redemption price will be the same as the NAV. The redemption price will be lower than the NAV in case the fund levies an exit load.
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?
If a mutual fund is closed, what happens to your invested money?