| 14.38 |
0.02 (0.14%) |
| NAV as on Feb-13-2012 |
|
|
|
|
|
|
|
Assuming that you invested in this scheme on 14-02-2011 at an NAV of Rs. 15.390, your loss today is 6.56%.
|
|
| # NAVs adjusted for bonus, but not for dividends. |
|
|
Compare Performance
Mutual Fund Search
Mutual Fund Meter
Top Ranked Funds