Demystifying NAV Calculation: The Mechanics Behind the Numbers

A regular client who has been SIP-investing in a mid-cap fund calls you in a panic, claiming their portfolio value has dropped overnight despite no major market correction. They are confused by the daily fluctuations in...

Demystifying NAV Calculation: The Mechanics Behind the Price

Consider a client who calls you after a market correction, questioning why their diversified equity fund's NAV dropped by a specific percentage while the headline indices seemed to move differently. As an MFD, your...

Demystifying NAV: How Mutual Fund Valuation Impacts Your Client Conversations

A regular client calls you in a panic after looking at their portfolio statement, claiming their mutual fund units have 'lost value' because the price per unit dropped by two rupees overnight. This is a common situation...

Demystifying NAV: How Valuation Ensures Investor Equity

Consider a client who calls you, panicked because their liquid fund’s Net Asset Value (NAV) moved in a way they did not expect, or a long-term equity investor who assumes the daily price movement of their fund is simply...

Demystifying NAV: Precision in Investor Transactions

Consider a client who approaches you mid-month, concerned about the declining value of their equity portfolio. They look at the daily NAV published in the newspaper or on a financial portal and ask why their investment...

Demystifying NAV: The Mathematics of Investor Wealth

Picture this: a client calls you in a panic after seeing the morning newspaper, questioning why their debt fund’s unit price didn't jump by 5% when equity markets rallied. As an MFD, your ability to explain that NAV is...

Demystifying NAV: The MFD’s Guide to Asset Valuation

Consider a client who calls you in a panic, observing that the Net Asset Value (NAV) of their liquid fund has barely moved in a week, while their equity fund seems to fluctuate daily. As an MFD, your ability to explain...

Demystifying Portfolio Disclosures: Beyond the Monthly Factsheet

Picture a concerned investor who calls you, having noticed that their large-cap fund recently added a significant position in a mid-cap stock that they find risky. They want to know why they weren't informed about this...

Demystifying Tax Implications for Systematic Withdrawal Plans

A retired client approaches you, looking to generate a monthly pension-like income from their equity-oriented mutual fund investments. As an MFD, you suggest a Systematic Withdrawal Plan (SWP), which allows them to...

Demystifying the NFO Allotment Process for Mutual Fund Distributors

Consider a client who approaches you with excitement during a New Fund Offer, eager to deploy a substantial sum into a thematic infrastructure fund. You have completed the suitability assessment and confirmed the...