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Axis Hybrid Fund - Series 13 - Regular Plan - Dividend

Axis Mutual Fund
₹12.4073
+0.01%
Scheme Code
130058
NAV Date
2017-12-13
Category
Sub-Category
Plan
Regular
Option
IDCW
ISIN
INF846K01PC0
ISIN (Reinvest)
Last 30 days
2017-12-13
₹12.4073
+0.01%
2017-12-12
₹12.4062
+0.01%
2017-12-11
₹12.4050
+0.03%
2017-12-08
₹12.4018
+0.01%
2017-12-07
₹12.4007
+0.16%
2017-12-06
₹12.3811
-0.40%
2017-12-05
₹12.4313
+0.01%
2017-12-04
₹12.4302
-0.98%
2017-11-30
₹12.5538
-1.06%
2017-11-29
₹12.6882
-0.11%
2017-11-28
₹12.7027
-0.12%
2017-11-27
₹12.7185
-0.03%
2017-11-24
₹12.7222
+0.28%
2017-11-23
₹12.6863
+0.09%
2017-11-22
₹12.6748
+0.12%
2017-11-21
₹12.6592
+0.22%
2017-11-20
₹12.6308
+0.12%
2017-11-17
₹12.6161
+0.58%
2017-11-16
₹12.5429
+0.77%
2017-11-15
₹12.4469
-0.61%
2017-11-14
₹12.5236
-0.35%
2017-11-13
₹12.5676
-0.70%
2017-11-10
₹12.6559
+0.00%
2017-11-09
₹12.6555
+0.06%
2017-11-08
₹12.6479
-0.39%
2017-11-07
₹12.6971
-0.81%
2017-11-06
₹12.8013
+0.05%
2017-11-03
₹12.7946
+0.24%
2017-11-02
₹12.7645
-0.17%
2017-11-01
₹12.7868
+0.91%