Category | Hybrid Scheme - Equity Savings |
NAV | 11.92 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Equity Savings |
NAV | 13.57 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Equity Savings |
NAV | 10.59 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Equity Savings |
NAV | 12.79 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 8.893 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 8.895 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 8.7 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 8.703 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 9.391 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 9.392 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 9.206 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 9.206 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 11.1098 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 11.11 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 10.924 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 10.9249 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 10.935 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 10.9348 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 10.7493 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Retirement Fund |
NAV | 10.749 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Childrenâs Fund |
NAV | 9.29 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Childrenâs Fund |
NAV | 9.29 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Childrenâs Fund |
NAV | 9.07 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Solution Oriented Scheme - Childrenâs Fund |
NAV | 9.06 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Index Funds |
NAV | 10.0624 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Index Funds |
NAV | 9.8727 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Index Funds |
NAV | 91.9771 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Index Funds |
NAV | 91.284 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Gold ETF |
NAV | 4282.7424 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Other ETFs |
NAV | 192.5385 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Other ETFs |
NAV | 100.9915 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Other ETFs |
NAV | 231.9863 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - Other ETFs |
NAV | 297.5171 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 12.6163 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 14.2641 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 13.9945 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 13.9926 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 17.2476 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 17.2306 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 16.6817 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Overseas |
NAV | 16.6714 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 17.575 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 28.0691 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 16.9964 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 27.1048 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 13.2745 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 13.9288 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 25.394 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 27.5788 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Other Scheme - FoF Domestic |
NAV | 20.2813 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |