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Kotak US Equity Fund - Standard Plan - Growth option

Kotak Mahindra Mutual Fund
₹19.2140
+0.22%
Scheme Code
133833
NAV Date
2020-02-24
Category
Sub-Category
Plan
Unknown
Option
Growth
ISIN
INF178L01CI1
ISIN (Reinvest)
Last 30 days
2020-02-24
₹19.2140
+0.22%
2020-02-20
₹19.1720
+0.26%
2020-02-18
₹19.1230
-0.21%
2020-02-14
₹19.1630
+0.08%
2020-02-13
₹19.1470
+0.11%
2020-02-12
₹19.1260
+0.55%
2020-02-11
₹19.0210
-0.01%
2020-02-10
₹19.0230
+0.77%
2020-02-07
₹18.8770
-0.64%
2020-02-06
₹18.9980
+0.36%
2020-02-05
₹18.9300
+1.51%
2020-02-04
₹18.6490
+0.78%
2020-02-03
₹18.5050
+0.63%
2020-01-31
₹18.3900
-1.76%
2020-01-30
₹18.7200
+0.77%
2020-01-29
₹18.5770
-0.43%
2020-01-28
₹18.6570
+0.85%
2020-01-27
₹18.4990
-1.28%
2020-01-24
₹18.7380
-0.81%
2020-01-23
₹18.8910
+0.03%
2020-01-22
₹18.8850
+0.23%
2020-01-21
₹18.8410
-0.13%
2020-01-17
₹18.8660
+0.43%
2020-01-16
₹18.7860
+0.80%
2020-01-15
₹18.6370
+0.13%
2020-01-14
₹18.6120
+0.09%
2020-01-13
₹18.5950
+0.34%
2020-01-10
₹18.5320
-0.64%
2020-01-09
₹18.6510
-0.09%
2020-01-08
₹18.6680
+0.90%