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Category Returns Details
Home >> Mutual Fund >> Category Returns Details
Category :
Scheme Name NAV (NAV Date )
(%)
1 Week
(%)
1 Month
(%)
3 Months
(%)
6 Months
(%)
1 Year
(%)
3 Years
(%)
5 Years
(%)
Since Inception (Inception Date )
(%)
Aditya Birla SL.. 20.32
(10 Jul 2020)
1.09 5.61 22.19 0.15 7.96 14.72 11.07 8.61
(15 Jan 2000)
Aditya Birla SL.. 55.72
(10 Jul 2020)
1.11 5.65 22.19 0.18 8.79 15.56 11.56 8.74
(15 Jan 2000)
Franklin India .. 26.30
(09 Jul 2020)
3.00 5.54 24.21 6.97 14.72 15.63 10.74 8.02
(08 Oct 1999)
Franklin India .. 180.26
(09 Jul 2020)
3.00 5.54 24.21 6.93 14.68 15.62 10.73 17.79
(22 Aug 1998)
ICICI Pru Techn.. 31.14
(10 Jul 2020)
2.47 6.75 24.01 -1.27 2.54 12.73 8.55 8.96
(03 Mar 2000)
ICICI Pru Techn.. 58.19
(10 Jul 2020)
2.47 6.75 23.99 -1.29 2.50 13.16 8.79 9.03
(03 Mar 2000)
SBI Technology .. 41.34
(10 Jul 2020)
1.31 4.49 19.81 0.39 6.66 15.70 9.74 10.56
(14 Jul 1999)
SBI Technology .. 68.64
(10 Jul 2020)
1.31 4.49 19.81 0.29 6.56 15.56 9.67 15.73
(09 Jan 2013)
Tata Digital In.. 14.94
(10 Jul 2020)
2.26 5.83 21.03 -2.73 2.37 15.73 NA 9.25
(28 Dec 2015)
Tata Digital In.. 14.94
(10 Jul 2020)
2.26 5.83 21.03 -2.73 2.37 NA NA 9.25
(28 Dec 2015)
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