In a circular on 17 September, the Securities and Exchange Board of India (SEBI) notified of changes in rules for the calculation of NAV (net asset value) across mutual fund schemes. Changes have also been notified on rules related to operations
from Tax Saving Investments | Tax Saving Tips & News | Income Tax India – Oneindia Money https://ift.tt/3616sRc
via IFTTT
from Tax Saving Investments | Tax Saving Tips & News | Income Tax India – Oneindia Money https://ift.tt/3616sRc
via IFTTT