Scheme Details| 212.5910 |  | 0.06(0.03) | | (Rs) | | (%) | | NAV as on 08 Feb 12 |
| | | Performance |
|---|
| 1 Week | : | 2.36% | | 1 Month | : | 12.15% | | 1 Year | : | 4.88% |
|
| |
| | Total Assets (Rs cr) | : | 4,501 | | Last Dividend (Rs) | : | N.A. |
Load Details| Exit (From Date: Aug 24, 09) | Investment Period | Ivestment Amount (Rs) | Exit Load (%) | | Below 1 years | N.A. | 1.00% |
|
Fund Selector
| Select Funds based on returns. |
| Category | |
| Period | |
| Returns | |
| AUM | |
| |  |
Online Portfolio
You can create Online Portfolio here using the below button.
For existing users
