The Net Asset Value (NAV) of SBI-ETF 10 YEAR GILT has been declared. SBI Funds Management Limited informed the Exchange about the NAV per unit of the SBI-ETF 10 YEAR GILT, providing an update for investors.
Key Details:
- Organization: SBI Funds Management Limited
- Product: SBI-ETF 10 YEAR GILT
- NAV: Rs. 260.7126 per unit
- Date: March 03, 2026
This announcement is crucial for investors tracking the performance of the SBI-ETF 10 YEAR GILT. The NAV is a key indicator of the fund’s value, reflecting the market value of its underlying assets.
About SBI-ETF 10 YEAR GILT: This Exchange Traded Fund (ETF) invests in government securities. ETFs offer investors a way to diversify their portfolios and gain exposure to specific market segments, such as government bonds, with the convenience of trading on an exchange.
Disclaimer: This article is for informational purposes only and does not constitute financial advice. Investors should conduct their own research or consult with a financial advisor before making any investment decisions.