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ICICI Prudential Fixed Maturity Plan-Series 67-371 Days Plan C - Direct Plan - Dividend
ICICI Prudential Mutual Fund
₹10.8871
+0.04%
Scheme Code
121732
NAV Date
2014-04-02
Category
Sub-Category
Plan
Direct
Option
IDCW
ISIN
INF109K012T2
ISIN (Reinvest)
Last 30 days
2014-04-02
₹10.8871
+0.04%
2014-03-31
₹10.8823
+0.07%
2014-03-28
₹10.8747
+0.02%
2014-03-27
₹10.8722
+0.02%
2014-03-26
₹10.8697
+0.02%
2014-03-25
₹10.8672
+0.02%
2014-03-24
₹10.8647
+0.07%
2014-03-21
₹10.8572
+0.02%
2014-03-20
₹10.8548
+0.02%
2014-03-19
₹10.8523
+0.02%
2014-03-18
₹10.8498
+0.09%
2014-03-14
₹10.8398
+0.02%
2014-03-13
₹10.8373
+0.02%
2014-03-12
₹10.8348
+0.02%
2014-03-11
₹10.8323
+0.02%
2014-03-10
₹10.8298
+0.07%
2014-03-07
₹10.8223
+0.02%
2014-03-06
₹10.8198
+0.02%
2014-03-05
₹10.8173
+0.02%
2014-03-04
₹10.8148
+0.02%
2014-03-03
₹10.8123
+0.07%
2014-02-28
₹10.8048
+0.05%
2014-02-26
₹10.7997
+0.03%
2014-02-25
₹10.7970
+0.03%
2014-02-24
₹10.7943
+0.07%
2014-02-21
₹10.7864
+0.03%
2014-02-20
₹10.7837
+0.05%
2014-02-18
₹10.7784
+0.02%
2014-02-17
₹10.7758
+0.07%
2014-02-14
₹10.7678
+0.03%