 OCCL Ltd declares interim dividend of Rs. 1
OCCL Ltd declares interim dividend of Rs. 1 Banaras Beads Ltd - Impact of enhanced US Govt. Tariff on company's Export
Banaras Beads Ltd - Impact of enhanced US Govt. Tariff on company's Export Vaibhav Global Ltd declares 2nd interim divdiend of Rs. 1.50
Vaibhav Global Ltd declares 2nd interim divdiend of Rs. 1.50 SMC Global Securities Ltd Q2 FY2025-26 consolidated net profit declines to Rs. 20.65 crores
SMC Global Securities Ltd Q2 FY2025-26 consolidated net profit declines to Rs. 20.65 crores Rajoo Engineers Ltd Q2FY26 consolidated profit at Rs. 14.18 crores
Rajoo Engineers Ltd Q2FY26 consolidated profit at Rs. 14.18 crores 
              The trustees of ICICI Prudential Asset Management Company Ltd have approved June 26, 2009 as the record date for declaration of 10% dividend under the dividend option of ICICI Prudential Power Fund.
Accordingly dividend will be paid to all the unitholders whose names appear on the Register of investors/unitholders of the schemes, on June 26, 2009 subject to availability of distributable surplus under the scheme.
The Face Value of Mutual Fund units are Rs 10 and the dividend declared is 10% or Rs 1.0 per unit.
The NAV (Net Asset Value) of the scheme was Rs 13.90 on June 18, 2009. It should be noted that pursuant to payment of dividend, the NAV of the scheme would fall to the extent of dividend payout and statutory levy if any.
Past performance may or may not be sustained in the future and should not be used as a basis of comparison with other investments.
Mutual Funds and Securities Investments are subject to market risks and there is no assurance or guarantee that the objectives of the scheme will be achieved. Please read the scheme information documents / addendums of the schemes carefully before investing.