GPSC Account Officer & Commercial Tax Officer (CTO) Main Exam Result 2017
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SSC (WR) Junior Chemist and Junior Statistical Assistant Result 2017 General Knowledge for all competitive Exam Must visit GujaratGk.com A mutual fund company is an investment company that receives money from investors for the sole purpose to invest in stocks, bonds, and other securities for the benefit of the investors. A mutual fund is the portfolio of stocks, bonds, or other securities that generate profits for the investor, or shareholder of the mutual fund.
Name Of Organization : GPSC (Gujarat Public Service Commission)
Name Of Posts : Account Officer & Commercial Tax Officer (CTO)
New Job Update Online Application, Call Letter, Answer Keys and more Must Visit GuujaratiEducation.in A mutual fund allows an investor with less money to diversify his holdings for greater safety and to benefit from the expertise of professional fund managers. Mutual funds are generally safer, but less profitable, than stocks, and riskier, but more profitable than bonds or bank accounts, although its profit-risk profile can vary widely, depending on the fund’s investment objective.
Advt. No. 37/2016-17
- The candidate who desires to recheck his marks of Main Examination may apply the Commission along with such fees as fixed by the Commission for each paper within a period of 30 days from the date of declaration of the final result of the Main Examination i.e. subsequent to Viva-voce.
- The candidate who desires to obtain the Mark-sheet of the Main Examination shall apply to the Commission along with such fees as may be fixed by the Commission within a period of 15 days from the date of declaration of the final result of the Main Examination i.e. subsequent to Viva-voce.
- If there is any change in the postal address of candidate who have qualified for interview test, they are requested to communicate the new postal address to the office of the commission immediately
Technology Updates Most mutual funds are open-end funds, which sells new shares continuously or buys them back from the shareholder (redeems them), dealing directly with the investor (no-load funds) or through broker-dealers, who receive the sales load of a buy or sell order.The purchase price is the net asset value (NAV) at the end of the trading day, which is the total assets of the fund minus its liabilities divided by the number of shares outstanding for that
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