Category | Debt Scheme - Credit Risk Fund |
NAV | 14.4325 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 13.7834 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 10.2722 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | 13.7666 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | .3178 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | .4157 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | .4157 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | .3985 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | .3038 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Credit Risk Fund |
NAV | .398 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 150.1326 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 112.0295 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 109.8989 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 157.124 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 265.2518 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 109.9615 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 107.9799 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 398.1756 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 109.8209 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 110.7273 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 270.4965 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 23.7552 |
Repurchase Price | 23.7552 |
Sale Price | 23.7552 |
Date | 11-Feb-2011 |
Category | Debt Scheme - Gilt Fund |
NAV | 11.9845 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 61.2607 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 63.6762 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Gilt Fund |
NAV | 11.6264 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 100.703 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 254.7166 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 100.5197 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 100.7746 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 250.5093 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 100.5182 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 362.3224 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Floater Fund |
NAV | 100.5183 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 38.6062 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 36.2069 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 18.7792 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Conservative Hybrid Fund |
NAV | 12.1779 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Aggressive Hybrid Fund |
NAV | 155.03 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Aggressive Hybrid Fund |
NAV | 656.58 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Aggressive Hybrid Fund |
NAV | 99.86 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Aggressive Hybrid Fund |
NAV | 610.59 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage |
NAV | 18.13 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage |
NAV | 51.27 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage |
NAV | 16.96 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage |
NAV | 48.03 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Arbitrage Fund |
NAV | 11.0836 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Arbitrage Fund |
NAV | 21.0689 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Arbitrage Fund |
NAV | 20.2438 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Arbitrage Fund |
NAV | 10.7956 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |