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NAFA ASSET MANAGERS PVT LTD

NAFA ASSET MANAGERS PVT LTD

AUM in Cr : 301 Cr
No of Clients : 143

Schemes (5)

PMS
|
31 Oct 2022
|
AUM : 115 Cr
NAFA EMERGING BLUE CHIP PORTFOLIO
BSEMIDCAP
Fund Returns
1M
-0.52%
1Y
5.23%
Benchmark Returns
1M
2.03%
1Y
0.32 0%
PMS
|
31 Oct 2022
|
AUM : 1 Cr
NAFA PHARMA PORTFOLIO
BSE 500
Fund Returns
1M
0.9%
1Y
-14.03%
Benchmark Returns
1M
4.01%
1Y
2.5
PMS
|
31 Oct 2022
|
AUM : 38 Cr
NAFA SMALL CAP PORTFOLIO
BSE 500
Fund Returns
1M
0.68%
1Y
10.34%
Benchmark Returns
1M
4.01%
1Y
2.5
PMS
|
31 Oct 2022
|
AUM : 12 Cr
NAFA WEALTH BUILDER PORTFOLIO
BSE 500
Fund Returns
1M
1.31%
1Y
9.42%
Benchmark Returns
1M
4.01%
1Y
2.5
PMS
|
31 Oct 2022
|
AUM : 7 Cr
NAFA NEW AND CLEAN TECH
BSE 500
Fund Returns
1M
1.8%
1Y
19.75%
Benchmark Returns
1M
4.01%
1Y
2.5

Contacts

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