ADDENDUM & NOTIFICATIONS

  • On account of "Republic Day " Tuesday, January 26, 2021 has been declared a non-business day for all schemes of Taurus Mutual Fund. All redemption payouts scheduled for this date will also be deferred to the next business day.

  • Notice cum Addendum of Product Labeling of Mutual Fund schemes - Risk-o-meter - 09.01.2021

  • Notice cum Addendum of Change in Base Total Expense Ratio of Scheme(s) of Taurus Mutual Fund - 07.01.2021

  • Corrigendum of Notice cum Addendum of applicability of NAV for Purchases / Switch-in for the Schemes - 02.01.2021

  • Notice cum Addendum of applicability of NAV for Purchases / Switch-in for the Schemes - 01.01.2021