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Axis Fixed Term Plan - Series 92 (154 Days) - Direct Plan - Dividend Option

Axis Mutual Fund
₹10.0000
-2.98%
Scheme Code
143203
NAV Date
2018-09-27
Category
Sub-Category
Plan
Direct
Option
IDCW
ISIN
INF846K01C19
ISIN (Reinvest)
Last 30 days
2018-09-27
₹10.0000
-2.98%
2018-09-26
₹10.3072
+0.02%
2018-09-25
₹10.3054
+0.02%
2018-09-24
₹10.3036
+0.06%
2018-09-21
₹10.2978
+0.04%
2018-09-19
₹10.2939
+0.02%
2018-09-18
₹10.2920
+0.02%
2018-09-17
₹10.2900
+0.05%
2018-09-14
₹10.2846
+0.04%
2018-09-12
₹10.2807
+0.02%
2018-09-11
₹10.2787
+0.02%
2018-09-10
₹10.2768
+0.06%
2018-09-07
₹10.2709
+0.02%
2018-09-06
₹10.2689
+0.02%
2018-09-05
₹10.2669
+0.02%
2018-09-04
₹10.2650
+0.02%
2018-09-03
₹10.2630
+0.06%
2018-08-31
₹10.2571
+0.02%
2018-08-30
₹10.2551
+0.02%
2018-08-29
₹10.2532
+0.02%
2018-08-28
₹10.2512
+0.02%
2018-08-27
₹10.2492
+0.06%
2018-08-24
₹10.2433
+0.02%
2018-08-23
₹10.2408
+0.04%
2018-08-21
₹10.2368
+0.02%
2018-08-20
₹10.2348
+0.08%
2018-08-16
₹10.2269
+0.04%
2018-08-14
₹10.2229
+0.02%
2018-08-13
₹10.2209
+0.06%
2018-08-10
₹10.2150
+0.02%