Following Details

  • Personal Details

    Step 01

    Personal Details
  • Investment Details

    Step 02

    Scheme Details
  • Bank Details

    Step 03

    Investment Details
  • Payment Details

    Step 04

    Payment &
    Confirmation Details

Scheme Details

Mode of Transaction*
scheme details

Scheme Category*

  
scheme details

Scheme Category*

Mirae Asset Arbitrage Fund - Regular Plan -- Growth

NAV (Net Asset Value

10.599

NAV Date

17 Mar 2022

Cut-off Time

03:00 PM

Minimum Amount

र 5000.00

For NAV applicability details, Click Here

For NAV applicability details, Click Here

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