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YOU ARE HERE > Moneycontrol > Fixed Income > Insurance > Snapshot - HDFC Group Unit Linked Plan Gratuity Liquid Fund (28-03-2006)

HDFC Group Unit Linked Plan Gratuity Liquid Fund (28-03-2006)

40.520
0.01 (0.02%)
NAV as on May-22-2013

Returns (as on May-22-2013)

Period Absolute (%) Annualised (%)
3 mth 2.0 -
6 mths 4.1 -
1 year 8.9 8.9
2 year 17.2 8.3
3 year 26.4 8.1
5 year 51.4 8.7

Returns Calculator

Returns Date :

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Absolute Returns : 8.87%

NAV as on May-22-2012: Rs 37.22000 | NAV as on May-22-2013: Rs 40.520

NAV Chart

52-week High 40.52 (22-05-2013) 52-week Low 37.23 (23-05-2012)
Historic Graph From      To     
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