This is the amount that the Asset Management Company (AMC) charges the mutual fund to manage the fund/money. This is charged as a percentage of the fund and lowers the Net Asset Value – NAV, the daily declared price of the fund.
This is the amount that the Asset Management Company (AMC) charges the mutual fund to manage the fund/money. This is charged as a percentage of the fund and lowers the Net Asset Value – NAV, the daily declared price of the fund.