Main

processing priority

3

site type

0 (generic, awaiting analysis)

review version

11

html import

20 (imported)

Events

first seen date

2024-11-03 21:48:44

expired found date

-

created at

2024-11-03 21:48:44

updated at

2026-02-24 19:11:02

Domain name statistics

length

10

crc

18686

tld

86

nm parts

0

nm random digits

0

nm rare letters

0

Connections

is subdomain of id

-

previous id

0

replaced with id

0

related id

-

dns primary id

29595308

dns alternative id

0

lifecycle status

0 (unclassified, or currently active)

Subdomains and pages

deleted subdomains

0

page imported products

0

page imported random

0

page imported parking

0

Error counters

count skipped due to recent timeouts on the same server IP

0

count content received but rejected due to 11-799

0

count dns errors

0

count cert errors

0

count timeouts

1

count http 429

0

count http 404

1

count http 403

0

count http 5xx

0

next operation date

2024-11-06 01:48:49

Server

server bits

server ip

-

Mainpage statistics

mp import status

20

mp rejected date

-

mp saved date

-

mp size orig

99546

mp size raw text

2095

mp inner links count

0

mp inner links status

20 (imported)

Open Graph

title

FundNav | Build long term investor relationships

description

FundNav is an investor’s relation and communication hub which enable Fund Managers and Issuers to keep their investor updated. / For Fund Managers who build long term investor relationships FundNav® i

site name

FundNav

author

updated

2026-01-14 10:33:18

raw text

FundNav | Build long term investor relationships Skip to content Toggle Navigation Product Platform Features Pricing Request a demo Home fun6n4v 2024-08-09T16:22:05+01:00 For Fund Managers who build long term investor relationships FundNav ® is an investor’s relation and communication hub which enable Fund Managers and Issuers to keep their investor updated on the information related to their investment, onboard and KYC investors with a dematerialised process and allow investors to stake their assets. Request a demo Learn more Request a demo Learn more 0 Total securities 0 Total number of fund managers 0 Total number of subscriptions $ 0 Average subscription amount (USD) FundNav ® key features Transparent investments 
Provides investors with information/documents about their investment fund Shareholder registry and KYC/AML compliance Mitigate risks, safeguard your operations, and comply with legal obligations Management...

Text analysis

redirect type

0 (-)

block type

0 (no issues)

detected language

1 (English)

category id

Other [en] (231)

index version

2025123101

spam phrases

0

Text statistics

text nonlatin

0

text cyrillic

0

text characters

1653

text words

286

text unique words

169

text lines

63

text sentences

4

text paragraphs

2

text words per sentence

71

text matched phrases

0

text matched dictionaries

0

RSS

rss status

32 (unknown)

rss found date

2024-11-03 21:48:45

rss size orig

78885

rss items

10

rss spam phrases

0

rss detected language

126 (language undetectable (empty document, too short, or engines disagree))

inbefore feed id

-

inbefore status

0 (new)

Sitemap

sitemap status

30 (processing completed, results pushed to table crawler_sitemaps.ext_domain_sitemap_lists)

sitemap review version

2

sitemap urls count

18

sitemap urls adult

0

sitemap filtered products

0

sitemap filtered videos

0

sitemap found date

2025-05-03 05:37:29

sitemap process date

2026-02-24 19:11:02

sitemap first import date

-

sitemap last import date

-