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Tata Treasury Advantage Fund Segregated Portfolio 1 Regular Plan - Weekly Payout of IDCW Option

Tata Mutual Fund
₹27.8276
-0.11%
Scheme Code
147400
NAV Date
2022-02-09
Category
Sub-Category
Plan
Regular
Option
IDCW
ISIN
INF277K012U6
ISIN (Reinvest)
INF277K013U4
Last 30 days
2022-02-09
₹27.8276
-0.11%
2022-02-08
₹27.8579
+0.07%
2022-02-04
₹27.8395
-0.02%
2022-02-03
₹27.8444
+0.17%
2022-02-02
₹27.7983
-0.20%
2022-02-01
₹27.8533
-0.74%
2022-01-31
₹28.0618
+1.50%
2022-01-28
₹27.6469
-0.80%
2022-01-27
₹27.8711
+0.02%
2022-01-25
₹27.8647
+0.86%
2022-01-24
₹27.6265
-0.53%
2022-01-21
₹27.7736
-0.06%
2022-01-20
₹27.7902
+0.06%
2022-01-19
₹27.7740
+0.09%
2022-01-18
₹27.7488
+0.11%
2022-01-17
₹27.7179
+0.04%
2022-01-14
₹27.7063
-0.22%
2022-01-13
₹27.7669
+0.30%
2022-01-12
₹27.6848
+0.05%
2022-01-11
₹27.6712
+0.01%
2022-01-10
₹27.6691
+0.06%
2022-01-07
₹27.6532
-0.08%
2022-01-06
₹27.6740
-0.03%
2022-01-05
₹27.6835
-0.03%
2022-01-04
₹27.6931
-0.06%
2022-01-03
₹27.7085
+0.06%
2021-12-31
₹27.6928
+0.16%
2021-12-30
₹27.6484
+0.25%
2021-12-29
₹27.5806
+0.17%
2021-12-28
₹27.5344
+0.43%