SBI Funds Management Limited has announced the Net Asset Value (NAV) per unit for SBI Mutual Fund – SBI FMP- Series 42 (1857 Days).
Key Highlights:
- NAV for RP-IDCW Payout: Rs. 13.3134 (SFMP42DR)
- NAV for RPG: Rs. 13.3134 (SFMP42GR)
The NAVs were declared as of February 01, 2026.
Tags: SBI Mutual Fund, NAV, Financial Markets, Investment, Mutual Funds, SBI FMP, Series 42, 1857 Days, RP-IDCW, RPG