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As on (02 Jul 2025 | 01:54)
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As on (02 Jul 2025 | 01:54)
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Daily NAV
Historical NAV
MF Synopsis
Incorporated on
:
Aug 13 , 2007
Total assets under management (₹ Cr)
:
11,518.36(Mar 31 , 2025)
Type
:
Joint Venture Indian
Address
:
B/204, Tower 1,Peninsula CorporatePark, Ganpatrao kadam marg,Lower Parel, Mumbai - 400013
Tel No.
:
022 - 61249000
Fax
:
022 - 61249001
E-mail
:
service@boimf.in
Registrar
:
NA
Bank of India Arbitrage Fund - Direct (G)
Equity - Diversified
43.16
31-May-2025
14.39
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Arbitrage Fund - Direct (IDCW-A)
Equity - Diversified
43.16
31-May-2025
13.02
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Arbitrage Fund - Direct (IDCW-M)
Equity - Diversified
43.16
31-May-2025
12.97
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Arbitrage Fund - Direct (IDCW-Q)
Equity - Diversified
43.16
31-May-2025
13.68
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Arbitrage Fund - Regular (G)
Equity - Diversified
43.16
31-May-2025
13.80
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Arbitrage Fund - Regular (IDCW-A)
Equity - Diversified
43.16
31-May-2025
12.75
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Arbitrage Fund - Regular (IDCW-M)
Equity - Diversified
43.16
31-May-2025
12.50
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Arbitrage Fund - Regular (IDCW-Q)
Equity - Diversified
43.16
31-May-2025
13.20
01-Jul-2025
Firdaus Marazban Ragina
Bank of India Balanced Advantage Fund - Direct (G)
Balanced
139.06
31-May-2025
27.19
01-Jul-2025
Alok Singh
Bank of India Balanced Advantage Fund - Direct (IDCW)
Balanced
139.06
31-May-2025
16.41
01-Jul-2025
Alok Singh
Scheme Name
Category
Asset Size
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Asset Date
NAV
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