Skip Navigation LinksHome > MF Analyser > Scheme Synopsis

Scheme Synopsis

Category
Period
 
 
Scheme Name NAV (Rs)Inception Date1 Week [%]1 Month [%]3 Months [%]6 Months [%]
AIG India Equity Fund (D) 12.17Jun 22 20072.399.41-1.62-2.82
AIG India Equity Fund (G) 12.17Jun 22 20072.399.41-1.62-2.82
AIG India Equity Fund - Inst (D) 13.31Jun 22 20071.265.207.377.81
AIG India Equity Fund - Inst (G) 6.06Jun 22 20076.844.25-25.69-34.77
AXIS Equity Fund (D) 10.30Jan 5 20101.889.110.88-3.74
AXIS Equity Fund (G) 10.30Jan 5 20101.889.110.88-3.74
AXIS Midcap Fund (D) 9.95Feb 18 20113.549.70-0.80-6.40
AXIS Midcap Fund (G) 9.95Feb 18 20113.439.70-0.90-6.49
Baroda Pioneer Growth (D) 26.05Sep 9 20032.0412.58-0.42-5.48
Baroda Pioneer Growth (G) 46.25Sep 9 20032.0512.61-0.43-5.48
12345678910...
* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.
* Debt - Returns upto 1 year are annualised and over 1 year are CAGR.
Home | Privacy Policy | Fraud Prevention | Disclaimer | Miscellaneous| Link To Us | Feedback | Sitemap