Election 2014
SENSEX NIFTY
You are here : Moneycontrol > Mutual Funds > MIP Aggressive > Kotak Mahindra Mutual Fund > Kotak Monthly Income Plan (MDiv)

Kotak Monthly Income Plan (MDiv) SET SMS ALERT

11.337
0.04 (0.35%)
NAV as on Apr-17-2014
Dividend History
Record Date
Dividend (Rs/unit)
15-Apr-2014
0.0568
12-Mar-2014
0.0427
12-Feb-2014
0.0400
13-Jan-2014
0.0500
12-Dec-2013
0.0300
12-Nov-2013
0.0200
14-Oct-2013
0.0200
12-Sep-2013
0.0100
12-Aug-2013
0.0300
12-Jul-2013
0.0500
12-Jun-2013
0.0500
13-May-2013
0.0500
12-Apr-2013
0.0500
12-Mar-2013
0.0500
12-Feb-2013
0.0500
14-Jan-2013
0.2100
12-Dec-2012
0.0400
12-Nov-2012
0.0300
12-Oct-2012
0.0200
12-Sep-2012
0.0200
13-Aug-2012
0.0200
12-Jul-2012
0.0200
12-Jun-2012
0.0100
14-May-2012
0.0100
12-Apr-2012
0.0100
12-Mar-2012
0.0100
13-Feb-2012
0.0100
12-Jan-2012
0.0100
12-Dec-2011
0.0100
14-Nov-2011
0.0100
12-Jan-2011
0.0400
13-Dec-2010
0.0600
12-Nov-2010
0.0600
12-Oct-2010
0.0700
13-Sep-2010
0.0800
12-Aug-2010
0.0500
12-Jul-2010
0.0600
14-Jun-2010
0.0500
12-May-2010
0.0600
12-Apr-2010
0.1000
12-Mar-2010
0.0600
15-Feb-2010
0.0400
12-Jan-2010
0.0900
14-Dec-2009
0.0800
12-Nov-2009
0.0600
12-Oct-2009
0.0600
14-Sep-2009
0.0600
12-Aug-2009
0.1200
12-Jun-2009
0.0100
12-Sep-2008
0.0500
12-Aug-2008
0.0600
14-Jul-2008
0.0600
12-Jun-2008
0.0600
12-May-2008
0.0600
15-Apr-2008
0.0700
12-Mar-2008
0.0600
12-Feb-2008
0.0700
14-Jan-2008
0.0700
12-Dec-2007
0.0700
12-Nov-2007
0.0700
12-Oct-2007
0.0600
12-Sep-2007
0.0400
13-Aug-2007
0.0500
12-Jul-2007
0.0600
12-Jun-2007
0.0600
14-May-2007
0.0700
07-Apr-2007
0.0600
12-Mar-2007
0.0400
12-Sep-2006
0.0300

Dividends declared in other Plans of this Scheme:

Explore Moneycontrol

Copyright © e-Eighteen.com Ltd. All rights reserved. Reproduction of news articles, photos, videos or any other content in whole or in part in any form or medium without express written permission of moneycontrol.com is prohibited.