week

Kotak Credit Risk Fund - Weekly Dividend - Direct

Category Debt Scheme - Credit Risk Fund
NAV 10.1265
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Credit Risk Fund - Weekly Dividend

Category Debt Scheme - Credit Risk Fund
NAV 9.6969
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Corporate Bond Fund- Standard Plan-Weekly Dividend Option

Category Debt Scheme - Corporate Bond Fund
NAV 1202.9939
Repurchase Price 1202.9939
Sale Price 1202.9939
Date 21-Oct-2016




week

Kotak Corporate Bond Fund- Retail Plan- Weekly Dividend Option

Category Debt Scheme - Corporate Bond Fund
NAV 1052.3061
Repurchase Price 1052.3061
Sale Price 1052.3061
Date 21-Oct-2016




week

Kotak Dynamic Bond Fund Regular Plan Weekly Dividend

Category Debt Scheme - Dynamic Bond
NAV 10.5335
Repurchase Price 10.5335
Sale Price 10.5335
Date 15-Sep-2017




week

Kotak Dynamic Bond Fund - Weekly Dividend Direct

Category Debt Scheme - Dynamic Bond
NAV 12.8673
Repurchase Price 12.8673
Sale Price 12.8673
Date 15-Sep-2017




week

Kotak Money Market Scheme - (Weekly Dividend) - Direct

Category Debt Scheme - Money Market Fund
NAV 1023.0519
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Money Market Scheme - (Weekly Dividend)

Category Debt Scheme - Money Market Fund
NAV 1015.8299
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Low Duration Fund-Retail Plan-Weekly Dividend Option

Category Debt Scheme - Low Duration Fund
NAV 1021.1728
Repurchase Price 1021.1728
Sale Price 1021.1728
Date 21-Oct-2016




week

Kotak Low Duration Fund- Direct Plan- Weekly Dividend Option

Category Debt Scheme - Low Duration Fund
NAV 1201.0917
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Low Duration - Regular Plan-Weekly Dividend

Category Debt Scheme - Low Duration Fund
NAV 1015.9636
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Savings Fund-Weekly Dividend - Direct

Category Debt Scheme - Ultra Short Duration Fund
NAV 10.2724
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Savings Fund -Weekly Dividend

Category Debt Scheme - Ultra Short Duration Fund
NAV 10.2158
Repurchase Price
Sale Price
Date 08-May-2020




week

Kotak Liquid-Institutional Plan (Weekly Dividend)

Category Debt Scheme - Liquid Fund
NAV 1011.079
Repurchase Price 1011.079
Sale Price 1011.079
Date 23-Sep-2013




week

Kotak Liquid Regular Plan Weekly Dividend

Category Debt Scheme - Liquid Fund
NAV 1000.9952
Repurchase Price
Sale Price
Date 10-May-2020




week

Kotak Liquid - Weekly Dividend - Direct

Category Debt Scheme - Liquid Fund
NAV 1005.9685
Repurchase Price
Sale Price
Date 10-May-2020




week

Kotak Overnight Fund-Regular Plan- Weekly Dividend Payout OPtion

Category Debt Scheme - Overnight Fund
NAV 1067.3207
Repurchase Price
Sale Price
Date 10-May-2020




week

Kotak Overnight Fund-Direct Plan-WEEKLY Dividend Payout Option

Category Debt Scheme - Overnight Fund
NAV 1054.4731
Repurchase Price
Sale Price
Date 02-Jan-2020




week

JM Dynamic Debt Fund - Regular Plan - Weekly Dividend Option

Category Debt Scheme - Dynamic Bond
NAV 10.5898
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Dynamic Debt Fund - (Direct) - Weekly Dividend Option

Category Debt Scheme - Dynamic Bond
NAV 10.5990
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Money Market Fund - Weekly Dividend

Category Debt Scheme - Money Market Fund
NAV 10.6479
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Money Market Fund (Direct) - Weekly Dividend

Category Debt Scheme - Money Market Fund
NAV 10.6768
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Low Duration Fund - Weekly Dividend

Category Debt Scheme - Low Duration Fund
NAV 9.2955
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Low Duration Fund (Direct) - Weekly Dividend

Category Debt Scheme - Low Duration Fund
NAV 9.3196
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Ultra Short Duration Fund - Weekly Dividend

Category Debt Scheme - Ultra Short Duration Fund
NAV 10.2546
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Ultra Short Duration Fund - (Direct) -Weekly Dividend Option

Category Debt Scheme - Ultra Short Duration Fund
NAV 10.3130
Repurchase Price
Sale Price
Date 08-May-2020




week

JM Liquid Fund - Weekly Dividend Option

Category Debt Scheme - Liquid Fund
NAV 11.0106
Repurchase Price
Sale Price
Date 10-May-2020




week

JM Liquid Fund (Direct) - Weekly Dividend Option

Category Debt Scheme - Liquid Fund
NAV 11.0132
Repurchase Price
Sale Price
Date 10-May-2020




week

JM Overnight Fund - Regular - Weekly Dividend

Category Debt Scheme - Overnight Fund
NAV 1000.4454
Repurchase Price
Sale Price
Date 10-May-2020




week

JM Overnight Fund - Direct - Weekly Dividend

Category Debt Scheme - Overnight Fund
NAV 1000.4467
Repurchase Price
Sale Price
Date 10-May-2020




week

Quant Liquid Plan-Weekly Dividend Option-Direct Plan

Category Debt Scheme - Liquid Fund
NAV 14.3865
Repurchase Price
Sale Price
Date 10-May-2020




week

Quant Liquid Plan-Weekly Dividend Option

Category Debt Scheme - Liquid Fund
NAV 13.8797
Repurchase Price
Sale Price
Date 10-May-2020




week

GST Weekly Update 02.05.2020

GST Weekly Update 02.05.2020




week

ICICI Prudential Savings Fund Plan C - Weekly Dividend Option

Category Debt Scheme - Floater Fund
NAV 101.3043
Repurchase Price 101.3043
Sale Price 101.3043
Date 15-Feb-2017




week

ICICI Prudential Floating Interest Fund Plan B - Weekly Dividend Option

Category Debt Scheme - Floater Fund
NAV 101.1822
Repurchase Price
Sale Price
Date 24-Apr-2020




week

ICICI Prudential Floating Interest Fund Plan A - Weekly Dividend Option

Category Debt Scheme - Floater Fund
NAV 101.1821
Repurchase Price
Sale Price
Date 24-Apr-2020




week

ICICI Prudential Floating Interest Fund - Weekly Dividend

Category Debt Scheme - Floater Fund
NAV 101.3545
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Floating Interest Fund - Direct Plan - Weekly Dividend

Category Debt Scheme - Floater Fund
NAV 101.2989
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Banking and PSU Debt Fund Retail Weekly Dividend

Category Debt Scheme - Banking and PSU Fund
NAV 10.3305
Repurchase Price 10.3047
Sale Price 10.3305
Date 20-Aug-2015




week

ICICI Prudential Banking and PSU Debt Fund - Direct Plan - Weekly Dividend

Category Debt Scheme - Banking and PSU Fund
NAV 10.4513
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Banking and PSU Debt Fund - Weekly Dividend

Category Debt Scheme - Banking and PSU Fund
NAV 10.3161
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Corporate Bond Fund Retail Weekly Dividend

Category Debt Scheme - Corporate Bond Fund
NAV 10.2202
Repurchase Price
Sale Price
Date 24-Apr-2020




week

ICICI Prudential Corporate Bond Fund - Weekly Dividend

Category Debt Scheme - Corporate Bond Fund
NAV 10.3677
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Corporate Bond Fund - Direct Plan - Weekly Dividend

Category Debt Scheme - Corporate Bond Fund
NAV 10.2827
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential All Seasons Bond Fund - Weekly Dividend

Category Debt Scheme - Dynamic Bond
NAV 10.9168
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential All Seasons Bond Fund - Direct Plan - Weekly Dividend

Category Debt Scheme - Dynamic Bond
NAV 10.6138
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Medium Term Bond Fund Plan A - Weekly Dividend

Category Debt Scheme - Medium Duration Fund
NAV 10.0458
Repurchase Price 10.0458
Sale Price 10.0458
Date 17-Feb-2012




week

ICICI Prudential Money Market Fund Option - Weekly Dividend

Category Debt Scheme - Money Market Fund
NAV 100.9099
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Money Market Fund Option - Direct Plan - Weekly Dividend

Category Debt Scheme - Money Market Fund
NAV 101.0058
Repurchase Price
Sale Price
Date 08-May-2020




week

ICICI Prudential Savings Fund Retail Weekly Dividend

Category Debt Scheme - Low Duration Fund
NAV 100.956
Repurchase Price
Sale Price
Date 24-Apr-2020