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Fund :
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Category :
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Type :
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NAV()
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Percentage Returns :
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1 Month Ago :
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3 Months Ago :
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1 Year Ago :
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Inception Date
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Not Available
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Fund Manager
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Not Available
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Initial Price
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Not Available
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Min. Invest.
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Rs.Not Available
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Objectives
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Not Available
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Entry Load
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Not Available
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Exit Load
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Not Available
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1 Mth
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3 Mths
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1 Yr
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3 Yrs
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Sensex | 1.12 | 3.12 | 23.46 | 15.27 |
Nifty | 1.08 | 3.54 | 26.74 | 15.74 |
Options | NAV |
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Growth | 1366.7708 (22/04/2024) |
Monthly IDCW Reinvestment | 1216.4138 (22/04/2024) |
Holding Date | Value (Rs. Cr) |
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15/11/2022 | 5253.08 |
31/10/2022 | 5093.12 |
15/10/2022 | 5118.40 |
30/09/2022 | 5656.06 |
15/09/2022 | 5688.69 |
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