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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.. 10.38
(10 Jul 2020)
0.19 7.12 21.26 -16.47 -18.31 -8.93 -0.85 6.77
(17 Mar 2006)
Aditya Birla SL.. 25.75
(10 Jul 2020)
0.12 7.07 21.18 -15.79 -17.65 -8.75 -0.73 6.83
(17 Mar 2006)
BOI AXA Manufac.. 9.59
(10 Jul 2020)
0.31 4.47 14.85 -4.20 -2.44 -1.67 2.68 3.54
(05 Mar 2010)
BOI AXA Manufac.. 9.54
(10 Jul 2020)
0.32 4.49 14.80 -4.22 -2.45 -1.80 2.59 3.50
(05 Mar 2010)
BOI AXA Manufac.. 14.69
(10 Jul 2020)
0.27 4.41 14.77 -4.30 -2.52 -0.87 3.18 3.78
(05 Mar 2010)
Canara Robeco I.. 20.18
(10 Jul 2020)
-0.69 3.43 16.71 -13.32 -13.09 -6.29 0.50 9.80
(02 Dec 2005)
Canara Robeco I.. 39.50
(10 Jul 2020)
-0.73 3.40 16.69 -13.32 -12.63 -6.13 0.59 9.86
(02 Dec 2005)
DSP India T.I.G.. 11.06
(10 Jul 2020)
0.21 5.36 16.00 -22.08 -21.15 -6.88 0.00 12.96
(11 Jun 2004)
DSP India T.I.G.. 73.78
(10 Jul 2020)
0.20 5.36 15.99 -21.06 -20.13 -6.05 0.53 13.22
(11 Jun 2004)
Franklin Build .. 16.27
(10 Jul 2020)
0.49 1.96 17.10 -19.87 -18.88 -3.77 2.86 11.94
(04 Sep 2009)
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