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HDFC Floating Rate Debt Fund - Retail Monthly Div option

HDFC Mutual Fund
₹10.1682
+0.04%
Scheme Code
101484
NAV Date
2019-05-10
Category
Sub-Category
Plan
Unknown
Option
Other
ISIN
INF179K01657
ISIN (Reinvest)
INF179K01665
Last 30 days
2019-05-10
₹10.1682
+0.04%
2019-05-09
₹10.1645
+0.01%
2019-05-08
₹10.1630
+0.03%
2019-05-07
₹10.1595
+0.04%
2019-05-06
₹10.1553
+0.07%
2019-05-03
₹10.1480
+0.01%
2019-05-02
₹10.1471
-0.67%
2019-04-30
₹10.2157
+0.06%
2019-04-26
₹10.2100
+0.01%
2019-04-25
₹10.2089
+0.00%
2019-04-24
₹10.2086
-0.02%
2019-04-23
₹10.2106
-0.01%
2019-04-22
₹10.2112
+0.06%
2019-04-18
₹10.2050
+0.04%
2019-04-16
₹10.2014
+0.02%
2019-04-15
₹10.1990
+0.02%
2019-04-12
₹10.1969
+0.01%
2019-04-11
₹10.1960
-0.00%
2019-04-10
₹10.1962
+0.02%
2019-04-09
₹10.1945
-0.01%
2019-04-08
₹10.1953
+0.03%
2019-04-05
₹10.1927
+0.01%
2019-04-04
₹10.1914
-0.00%
2019-04-03
₹10.1917
+0.02%
2019-04-02
₹10.1897
+0.19%
2019-03-29
₹10.1703
+0.18%
2019-03-28
₹10.1516
+0.02%
2019-03-27
₹10.1493
+0.02%
2019-03-26
₹10.1473
-0.63%
2019-03-25
₹10.2116
+0.05%