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HDFC Standard - Unit Linked Pension Growth Fund

159.133
0.32 (0.20%)
NAV as on Oct-18-2017

Returns (as on Oct-18-2017)

Period Absolute (%) Annualised (%)
3 mth 3.4 -
6 mths 11.7 -
1 year 17.3 17.3
2 year 27.5 12.9
3 year 40.5 12.0
5 year 101.4 15.0

Returns Calculator

Returns Date :

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Absolute Returns : 17.27%

NAV as on Oct-18-2016: Rs 135.69850 | NAV as on Oct-18-2017: Rs 159.133

NAV Chart

52-week High 159.63 (20-09-2017) 52-week Low 122.15 (26-12-2016)
Historic Graph From      To     
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