Axis Liquid Fund - Regular Plan - Monthly Dividend Option
Category | Debt Scheme - Liquid Fund |
NAV | 1002.7697 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 1002.7697 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 2206.7548 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 1001.3998 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 1003.0076 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 1002.1970 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 2217.0825 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 1000.9560 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 2215.5705 |
Repurchase Price | |
Sale Price | |
Date | 05-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1001.2141 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1002.0570 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1058.1613 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.5032 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1001.2533 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1002.0833 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1058.9586 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.5073 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 9.38 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 9.39 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 9.42 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 9.42 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Focussed Fund |
NAV | 24.52 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Focussed Fund |
NAV | 13.90 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Focussed Fund |
NAV | 26.80 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Focussed Fund |
NAV | 23.38 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Small Cap Fund |
NAV | 25.75 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Small Cap Fund |
NAV | 17.42 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Small Cap Fund |
NAV | 27.75 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Small Cap Fund |
NAV | 19.03 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Mid Cap Fund |
NAV | 34.83 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Mid Cap Fund |
NAV | 20.36 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Mid Cap Fund |
NAV | 38.04 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Mid Cap Fund |
NAV | 25.45 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large & Mid Cap Fund |
NAV | 10.12 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large & Mid Cap Fund |
NAV | 10.11 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large & Mid Cap Fund |
NAV | 10.41 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large & Mid Cap Fund |
NAV | 10.40 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large Cap Fund |
NAV | 26.77 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large Cap Fund |
NAV | 12.85 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large Cap Fund |
NAV | 29.17 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Large Cap Fund |
NAV | 14.30 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Multi Cap Fund |
NAV | 10.66 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Multi Cap Fund |
NAV | 9.64 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Multi Cap Fund |
NAV | 11.09 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Multi Cap Fund |
NAV | 9.99 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
More self-driving cabs are being launched in China at a time when people are worried about public transport.
In C-sections, it is safe to give antibiotics to mothers after umbilical cord clamping, to avoid exposure of the newborns to the antibiotics, stated study