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Scheme Name NAV (Rs) as On
07-Nov-25
Dividend Record Date 6 Month [%] 1 Year [%] 3 Year [%]
ICICI Pru Large & Mid Cap Fu... 33.170 28.00 11-Nov-25 7.98 8.25 20.87
ICICI Pru Large & Mid Cap Fu... 56.990 28.00 11-Nov-25 8.43 9.15 21.92
ICICI Pru Bond Fund - Regula... 11.335 0.64 10-Nov-25 1.34 7.10 7.89
ICICI Pru Bond Fund - Direct... 11.718 0.78 10-Nov-25 1.54 7.53 8.26
Motilal Oswal Balance Advant... 12.496 1.60 10-Nov-25 11.10 -7.71 12.23
Motilal Oswal Balance Advant... 13.415 1.70 10-Nov-25 11.95 -6.42 13.64
Baroda BNP Paribas Arbitrage... 10.877 0.60 10-Nov-25 3.24 6.99 7.74
JM Liquid Fund - (IDCW-D) 10.430 0.02 07-Nov-25 2.91 6.31 6.58
Nippon India Ultra Short Dur... 1091.690 0.12 07-Nov-25 3.03 6.51 6.80
HDFC Money Market Fund (IDCW... 1063.640 0.02 07-Nov-25 3.32 7.56 7.40
* Returns upto 1 year are absolute and over 1 year are CAGR.
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