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Axis Hybrid Fund - Series 15 - Regular Plan - Dividend

Axis Mutual Fund
₹12.4059
+0.01%
Scheme Code
131082
NAV Date
2018-03-14
Category
Sub-Category
Plan
Regular
Option
IDCW
ISIN
INF846K01QM7
ISIN (Reinvest)
Last 30 days
2018-03-14
₹12.4059
+0.01%
2018-03-13
₹12.4048
+0.01%
2018-03-12
₹12.4034
+0.03%
2018-03-09
₹12.3998
+0.01%
2018-03-08
₹12.3986
+0.01%
2018-03-07
₹12.3974
+0.01%
2018-03-06
₹12.3962
+0.01%
2018-03-05
₹12.3950
+0.04%
2018-03-01
₹12.3906
+0.01%
2018-02-28
₹12.3896
+0.01%
2018-02-27
₹12.3883
+0.01%
2018-02-26
₹12.3871
+0.03%
2018-02-23
₹12.3831
+0.01%
2018-02-22
₹12.3818
+0.01%
2018-02-21
₹12.3804
+0.01%
2018-02-20
₹12.3791
+0.04%
2018-02-16
₹12.3738
+0.01%
2018-02-15
₹12.3725
+0.01%
2018-02-14
₹12.3711
+0.02%
2018-02-12
₹12.3683
+0.03%
2018-02-09
₹12.3642
+0.01%
2018-02-08
₹12.3629
+0.01%
2018-02-07
₹12.3615
+0.01%
2018-02-06
₹12.3601
+0.01%
2018-02-05
₹12.3587
+0.03%
2018-02-02
₹12.3550
+0.01%
2018-02-01
₹12.3538
+0.01%
2018-01-31
₹12.3525
+0.01%
2018-01-30
₹12.3512
+0.01%
2018-01-29
₹12.3500
+0.04%