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Goldman Sachs Banking Index Exchange Traded Scheme SET SMS ALERT

1,636.554
4.21 (0.26%)
NAV as on Sep-22-2014
NAV as on Sep-22-2014
For LIVE price, click here

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Returns Date :

  
  

Absolute Returns: 58.1%*

* Returns have been calculated after adjusting the NAVs for dividends, & bonus, if any. Click here to view Dividend History.

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Goldman Sachs Banking Index Exchange Traded Scheme - Performance Snapshot as on Sep 22, 2014

Period Absolute Returns (%) Annualised
Returns (%)
Performance Rank #
(within fund classes)
1 week
2.2 ** 13
1 month
3.3 ** 15
3 months
7.3 ** 2
6 months
31.4 ** 14
1 year
58.1 58.1 13
2 years
40.8 18.6 4
3 years
72.2 19.9 4
5 years 94.2 14.2 5
** Annualised returns displayed only for 1 year and above
# Total No. of Sector - Banking & Finance : 24
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