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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.. 77.79
(10 Jul 2020)
0.14 5.31 14.53 -8.13 -1.33 1.33 5.90 17.76
(16 Feb 1999)
Aditya Birla SL.. 36.88
(10 Jul 2020)
0.16 5.31 14.53 -8.12 -0.65 1.84 6.20 9.94
(03 Oct 2006)
Aditya Birla SL.. 132.78
(10 Jul 2020)
0.14 5.28 14.57 -7.34 -0.34 2.03 6.52 22.62
(29 Mar 1996)
Aditya Birla SL.. 30.09
(10 Jul 2020)
0.13 5.28 14.58 -7.33 0.47 2.60 6.88 9.44
(10 Mar 2008)
AXIS Long Term .. 18.87
(10 Jul 2020)
1.62 4.01 10.11 -11.09 -1.33 5.33 7.15 14.98
(29 Dec 2009)
AXIS Long Term .. 44.56
(10 Jul 2020)
1.62 4.01 10.11 -10.16 -0.30 6.13 7.64 15.24
(29 Dec 2009)
Baroda ELSS '96.. 40.38
(10 Jul 2020)
1.87 6.77 15.31 -10.56 -5.98 -2.97 2.15 8.52
(09 Jan 2014)
Baroda ELSS '96.. 24.77
(10 Jul 2020)
1.85 6.77 15.32 -10.58 -6.00 -3.18 2.03 10.61
(31 Mar 1996)
Baroda ELSS '96.. 40.38
(10 Jul 2020)
1.87 6.77 15.31 -10.56 -5.98 -2.97 2.15 0.71
(02 Mar 2015)
BNP Paribas Lon.. 13.60
(10 Jul 2020)
0.73 5.15 13.43 -8.57 0.00 1.58 4.24 9.62
(05 Jan 2006)
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