Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND
Aditya Birla Sun Life Mutual Fund₹10.0000
-7.87%
⚠ This scheme hasn't reported a new NAV since 2008-08-07 — it may be dormant, matured, merged, or delisted.
Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND is an AMFI-listed mutual fund scheme from Aditya Birla Sun Life Mutual Fund, categorized as (Debt) Close Ended. As of 2008-08-07, its NAV is ₹10.0000 (-7.87% from the previous day). This scheme has not reported a new NAV in over 30 days and may be dormant, matured, merged, or delisted — treat the figures above as historical, not a live quote. Full daily NAV history since 2007-08-10 is available below, along with a free JSON API.
Fund details
Scheme Code
106265
Category
(Debt) Close Ended
Plan
Unknown
Option
IDCW
ISIN
—
ISIN (Reinvest)
—
Launch Date
—
NFO Closed
—
Fund Structure
—
NAV Chart
Last 50 days
| Scheme | Date | NAV | Chg |
|---|---|---|---|
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-08-07 | ₹10.0000 | -7.87% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-08-06 | ₹10.8538 | -0.16% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-08-05 | ₹10.8708 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-08-04 | ₹10.8683 | +0.06% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-08-01 | ₹10.8616 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-31 | ₹10.8596 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-30 | ₹10.8573 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-29 | ₹10.8550 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-28 | ₹10.8526 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-25 | ₹10.8449 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-24 | ₹10.8424 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-23 | ₹10.8398 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-22 | ₹10.8373 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-21 | ₹10.8347 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-18 | ₹10.8270 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-17 | ₹10.8245 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-16 | ₹10.8221 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-15 | ₹10.8196 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-14 | ₹10.8171 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-11 | ₹10.8099 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-10 | ₹10.8075 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-09 | ₹10.8050 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-08 | ₹10.8025 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-07 | ₹10.8001 | +0.05% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-04 | ₹10.7944 | +0.01% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-03 | ₹10.7928 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-02 | ₹10.7908 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-07-01 | ₹10.7885 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-30 | ₹10.7861 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-27 | ₹10.7789 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-26 | ₹10.7765 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-25 | ₹10.7742 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-24 | ₹10.7718 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-23 | ₹10.7694 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-20 | ₹10.7624 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-19 | ₹10.7601 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-18 | ₹10.7578 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-17 | ₹10.7554 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-16 | ₹10.7530 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-13 | ₹10.7459 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-12 | ₹10.7435 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-11 | ₹10.7411 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-10 | ₹10.7387 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-09 | ₹10.7363 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-06 | ₹10.7291 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-05 | ₹10.7268 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-04 | ₹10.7244 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-03 | ₹10.7223 | +0.02% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-06-02 | ₹10.7199 | +0.07% |
| Birla Sun Life Fixed Term Plan - Series Y - INSTITUTIONAL DIVIDEND | 2008-05-30 | ₹10.7127 | +0.02% |