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Kotak Gold ETF SET SMS ALERT

2,532.540
1.48 (0.06%)
NAV as on Oct-17-2014
NAV as on Oct-17-2014
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Fund Family Kotak Mahindra Mutual Fund

Fund Class Gold ETF

Sectoral Allocation (Sep 30,2014)

Sector Value
(Rs in cr.)
Qty %  
Net Receivable / Payable -- -- 0.12  
Others / Unlisted -- -- 99.88  
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