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Scheme Name NAV (Rs) as On
23-Jan-26
Dividend Record Date 6 Month [%] 1 Year [%] 3 Year [%]
Nippon India Power & Infra F... 60.216 45.00 29-Jan-26 -7.71 -1.23 22.49
Nippon India Power & Infra F... 68.876 50.00 29-Jan-26 -7.30 -0.36 23.45
Nippon India Retirement Fund... 20.131 15.00 29-Jan-26 -4.48 2.86 15.75
Nippon India Retirement Fund... 23.274 15.00 29-Jan-26 -4.02 3.83 16.87
DSP Aggressive Hybrid Fund -... 28.332 2.20 28-Jan-26 -2.83 5.07 15.06
Bandhan Equity Savings Fund ... 11.031 0.55 28-Jan-26 1.82 5.97 7.81
Bandhan Conservative Hybrid ... 11.376 0.57 28-Jan-26 0.90 5.60 7.63
DSP Aggressive Hybrid Fund -... 71.981 2.20 28-Jan-26 -2.31 6.20 16.43
Bandhan Conservative Hybrid ... 13.374 0.67 28-Jan-26 6.10 11.38 10.20
Bandhan Equity Savings Fund ... 11.642 0.58 28-Jan-26 2.26 6.40 8.62
* Returns upto 1 year are absolute and over 1 year are CAGR.
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