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Today's Price

Metrics
NNBF1
NNBF2
Last Traded Price (LTP)Rs. N/ARs. 9.2---
Change00---
Change %
0%
0%
---
OpenRs. N/ARs. 9.38---
HighRs. N/ARs. 9.38---
LowRs. N/ARs. 9.2---
Previous CloseRs. N/ARs. 9.2---
Turnover---
Quantity02,500---
TradesN/A4---
Last Traded Time-Oct 19 2025 | 02:59:30 PM---

Performance Value

One Year Yield (%)0.00%1.10%---
Earnings Per Share (EPS)0.000.00---
P/E Ratio0.000.00---
Book Value0.000.00---
Price Per Book Value (PBV)0.000.00---
Fiscal Year-, Q0082-083, Q5---

Ownership Structure

Public Share0 (NaN%)0 (0.00%)---
Promoter Share0 (NaN%)11,20,00,000 (100.00%)---
Local ShareN/A (NaN%)N/A (0.00%)---
Total Share7,50,00,00011,20,00,000---

General Information

NameNabil Balance Fund 1NABIL BALANCED FUND-2---
SectorMutual FundMutual Fund---
Market Capitalization---
Float Capitalization---
Paid Up Capitalization---
Face ValueRs. 10Rs. 10---
52 week High/LowRs. N/A / N/ARs. 11.1 / 8.86---
52 week High/Low (Adj.)Rs. N/A / N/ARs. 10.17 / 7.56---
Average 120 DaysRs. N/ARs. 9.99---
Average 120 Days (Adj.)Rs. N/ARs. 8.87---
Average 180 DaysRs. N/ARs. 9.79---
Average 180 Days (Adj.)Rs. N/ARs. 8.6---
All Time HighRs. N/A (-)Rs. 11.1 (2025-07-24)---
All Time High (Adj.)Rs. N/A (-)Rs. 10.17 (2025-09-25)---
All Time LowRs. N/A (-)Rs. 7.03 (2023-12-05)---
All Time Low (Adj.)Rs. N/A (-)Rs. 5.33 (2023-04-24)---
Listing Date2013-05-062019-07-17---
Unlocking Date2018-04-122029-05-31---
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