Sundaram Ultra Short Term Fund Regular Plan Quarterly Dividend Reinvestment
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.3703 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.3703 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.2006 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.2190 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.4678 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.2275 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.2440 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.1700 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 0.0000 |
Repurchase Price | 0.0000 |
Sale Price | 0.0000 |
Date | 18-Dec-2013 |
Category | Debt Scheme - Liquid Fund |
NAV | 0.0000 |
Repurchase Price | 0.0000 |
Sale Price | 0.0000 |
Date | 18-Dec-2013 |
Category | Debt Scheme - Liquid Fund |
NAV | 0.0000 |
Repurchase Price | 0.0000 |
Sale Price | 0.0000 |
Date | 18-Dec-2013 |
Category | Debt Scheme - Liquid Fund |
NAV | 0.0000 |
Repurchase Price | 0.0000 |
Sale Price | 0.0000 |
Date | 18-Dec-2013 |
Category | Debt Scheme - Liquid Fund |
NAV | 10.0953 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 12.6919 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 10.0953 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 11.9953 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 39.1109 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 26.2836 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Liquid Fund |
NAV | 10.1025 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1043.1453 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1038.7133 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.0000 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1063.4361 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1042.6345 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1061.4544 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.0000 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 8.8661 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 9.0020 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Multi Cap Fund |
NAV | 8.3567 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.5170 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.0000 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.6054 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.0000 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Hybrid Scheme - Arbitrage Fund |
NAV | 10.4502 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Multi Asset Allocation |
NAV | 9.5277 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Multi Asset Allocation |
NAV | 9.5670 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage |
NAV | 9.9786 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage |
NAV | 10.2212 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 10.4402 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Banking and PSU Fund |
NAV | 10.4740 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.3835 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.8728 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.4105 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Ultra Short Duration Fund |
NAV | 10.9690 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.0000 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Debt Scheme - Overnight Fund |
NAV | 1000.0000 |
Repurchase Price | |
Sale Price | |
Date | 10-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 11.9116 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 14.0250 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 7.3055 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 7.3563 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |
Category | Equity Scheme - Sectoral/ Thematic |
NAV | 10.8320 |
Repurchase Price | |
Sale Price | |
Date | 08-May-2020 |