Latest NAV (Open Ended Funds)

Net Asset Value (NAV) per unit (figure in Taka) is reported as on Thursday, September 18, 2025 and sale & repurchase rates are applicable from September 21, 2025 to September 24, 2025.
Fund Name NAV Based on market price Sale Price Repurchase Price
VIPB Accelerated Income Unit Fund 12.72 12.72 12.65
VIPB Growth Fund 12.73 12.73 12.67
VIPB Balanced Fund 12.56 12.56 12.50
VIPB SEBL 1st Unit Fund 11.85 11.85 11.79
VIPB NLI 1st Unit Fund 11.08 11.08 11.03
VIPB Fixed Income Fund 12.14 12.14 12.14
Sale and Repurchase of our Open Ended Fund units remain closed on each Thursday
Historical NAV of funds

Investor Resources

Download Open End Fund related documents

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» Application Forms
» Trust Deed
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