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Axis Hybrid Fund Series-30 (1297 Days) Dividend

Axis Mutual Fund
₹14.3375
+0.05%
Scheme Code
136132
NAV Date
2019-08-30
Category
Sub-Category
Plan
Unknown
Option
IDCW
ISIN
INF846K01XA8
ISIN (Reinvest)
Last 30 days
2019-08-30
₹14.3375
+0.05%
2019-08-29
₹14.3297
+0.01%
2019-08-28
₹14.3280
+0.01%
2019-08-27
₹14.3264
+0.01%
2019-08-26
₹14.3247
+0.03%
2019-08-23
₹14.3198
+0.01%
2019-08-22
₹14.3181
+0.01%
2019-08-21
₹14.3165
+0.01%
2019-08-20
₹14.3148
+0.01%
2019-08-19
₹14.3132
+0.04%
2019-08-16
₹14.3079
+0.03%
2019-08-14
₹14.3043
+0.01%
2019-08-13
₹14.3025
+0.05%
2019-08-09
₹14.2952
+0.01%
2019-08-08
₹14.2933
+0.01%
2019-08-07
₹14.2915
+0.01%
2019-08-06
₹14.2896
+0.01%
2019-08-05
₹14.2878
+0.04%
2019-08-02
₹14.2821
+0.01%
2019-08-01
₹14.2802
+0.01%
2019-07-31
₹14.2783
+0.01%
2019-07-30
₹14.2764
+0.01%
2019-07-29
₹14.2745
+0.04%
2019-07-26
₹14.2688
+0.01%
2019-07-25
₹14.2668
+0.01%
2019-07-24
₹14.2649
+0.01%
2019-07-23
₹14.2631
+0.01%
2019-07-22
₹14.2613
+0.04%
2019-07-19
₹14.2555
+0.01%
2019-07-18
₹14.2535
+0.01%