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Kotak FMP Series 181 - Direct Dividend

Kotak Mahindra Mutual Fund
₹12.9569
+0.02%
Scheme Code
135608
NAV Date
2019-04-03
Category
Sub-Category
Plan
Direct
Option
IDCW
ISIN
INF174K01Z55
ISIN (Reinvest)
Last 30 days
2019-04-03
₹12.9569
+0.02%
2019-04-02
₹12.9547
+0.07%
2019-03-29
₹12.9457
+0.02%
2019-03-28
₹12.9436
+0.02%
2019-03-27
₹12.9414
+0.02%
2019-03-26
₹12.9391
+0.02%
2019-03-25
₹12.9368
+0.05%
2019-03-22
₹12.9299
+0.03%
2019-03-20
₹12.9256
+0.02%
2019-03-19
₹12.9233
+0.02%
2019-03-18
₹12.9209
+0.05%
2019-03-15
₹12.9139
+0.02%
2019-03-14
₹12.9116
+0.02%
2019-03-13
₹12.9092
+0.02%
2019-03-12
₹12.9069
+0.02%
2019-03-11
₹12.9046
+0.05%
2019-03-08
₹12.8976
+0.02%
2019-03-07
₹12.8952
+0.02%
2019-03-06
₹12.8929
+0.02%
2019-03-05
₹12.8905
+0.07%
2019-03-01
₹12.8811
+0.02%
2019-02-28
₹12.8787
+0.03%
2019-02-27
₹12.8753
+0.02%
2019-02-26
₹12.8729
+0.02%
2019-02-25
₹12.8705
+0.06%
2019-02-22
₹12.8633
+0.02%
2019-02-21
₹12.8609
+0.02%
2019-02-20
₹12.8586
+0.04%
2019-02-18
₹12.8538
+0.06%
2019-02-15
₹12.8466
+0.02%