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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.. 12.61
(10 Jul 2020)
0.96 -0.71 6.59 16.76 26.10 NA NA 26.02
(10 Jul 2019)
Aditya Birla SL.. 12.61
(10 Jul 2020)
0.88 -0.71 6.59 16.76 26.10 NA NA 26.02
(10 Jul 2019)
DSP Healthcare .. 13.92
(10 Jul 2020)
1.12 2.52 13.31 25.23 42.97 NA NA 22.80
(30 Nov 2018)
DSP Healthcare .. 13.92
(10 Jul 2020)
1.12 2.52 13.31 25.23 42.97 NA NA 22.80
(30 Nov 2018)
ICICI Pru P.H.D.. 13.35
(10 Jul 2020)
1.44 2.85 14.79 27.14 39.94 NA NA 15.59
(13 Jul 2018)
ICICI Pru P.H.D.. 13.35
(10 Jul 2020)
1.44 2.85 14.79 27.14 39.94 NA NA 15.59
(13 Jul 2018)
IDBI Healthcare.. 13.11
(10 Jul 2020)
1.16 -0.38 8.89 22.64 34.74 NA NA 21.95
(28 Feb 2019)
IDBI Healthcare.. 13.11
(10 Jul 2020)
1.16 -0.38 8.89 22.64 34.74 NA NA 21.95
(28 Feb 2019)
Mirae Asset Hea.. 14.18
(10 Jul 2020)
0.68 0.30 13.11 27.11 42.81 NA NA 18.83
(02 Jul 2018)
Mirae Asset Hea.. 14.18
(10 Jul 2020)
0.67 0.30 13.10 27.10 42.81 NA NA 18.83
(02 Jul 2018)
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