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Axis Hybrid Fund - Series 28 - Direct Plan - Dividend

Axis Mutual Fund
₹13.6893
+0.01%
Scheme Code
135619
NAV Date
2019-07-10
Category
Sub-Category
Plan
Direct
Option
IDCW
ISIN
INF846K01WG7
ISIN (Reinvest)
Last 30 days
2019-07-10
₹13.6893
+0.01%
2019-07-09
₹13.6873
+0.01%
2019-07-08
₹13.6854
+0.04%
2019-07-05
₹13.6798
+0.01%
2019-07-04
₹13.6779
+0.01%
2019-07-03
₹13.6761
+0.01%
2019-07-02
₹13.6742
+0.01%
2019-07-01
₹13.6725
+0.04%
2019-06-28
₹13.6664
+0.01%
2019-06-27
₹13.6644
-0.10%
2019-06-26
₹13.6781
+0.26%
2019-06-25
₹13.6423
+0.49%
2019-06-24
₹13.5751
-0.11%
2019-06-21
₹13.5898
-0.54%
2019-06-20
₹13.6631
+0.72%
2019-06-19
₹13.5656
+0.01%
2019-06-18
₹13.5648
+0.10%
2019-06-17
₹13.5507
-0.74%
2019-06-14
₹13.6522
-0.45%
2019-06-13
₹13.7138
+0.05%
2019-06-12
₹13.7075
-0.29%
2019-06-11
₹13.7474
+0.22%
2019-06-10
₹13.7169
+0.28%
2019-06-07
₹13.6781
+0.14%
2019-06-06
₹13.6590
-0.87%
2019-06-04
₹13.7795
-0.33%
2019-06-03
₹13.8246
+0.85%
2019-05-31
₹13.7080
-0.11%
2019-05-30
₹13.7229
+0.43%
2019-05-29
₹13.6637
-0.33%