Latest News

  • NLI First Mutual Fund declared 5% cash dividend for the year 2019-20

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  • SEBL 1st Mutual Fund declared 3% cash dividend for year 2019-20

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  • NLI First Mutual Fund declared 13% cash dividend for the year 2018-19

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  • SEBL1STMF declared 12% cash dividend for the year 2018-19

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Latest NAV (Closed End Funds)

Net asset value per unit (BDT) as on Thursday, October 15, 2020

Fund Name Listing date Face value per unit (BDT) NAV Based on market price NAV Based on cost price
NLI First Mutual Fund Monday, February 27, 2012 10.00 12.89 12.20
Southeast Bank 1st Mutual Fund Monday, May 23, 2011 10.00 12.23 11.68
Historical NAV of funds

Latest NAV (Open Ended Funds)

Net asset value per unit (figure in Taka) as on Thursday, October 15, 2020 and sales & Repurchase rates are applicable from October 18 to October 21, 2020.
Fund Name NAV Based on market price Sale Price Repurchase Price
VIPB Accelerated Income Unit Fund 11.45 11.45 11.22
VIPB Growth Fund 9.77 9.77 9.57
Sale and Repurchase of our Open Ended Fund units remain closed on each Thursday
Historical NAV of funds