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Scheme Name NAV (Rs) as On
18-Nov-25
Dividend Record Date 6 Month [%] 1 Year [%] 3 Year [%]
HDFC Arbitrage Fund - WP (ID... 10.944 0.50 18-Nov-25 2.95 6.38 7.11
HDFC Arbitrage Fund - WP (ID... 11.399 0.50 18-Nov-25 2.96 6.38 7.12
HDFC Arbitrage Fund - WP - D... 11.649 0.50 18-Nov-25 3.22 6.98 7.68
HDFC Arbitrage Fund - WP - D... 11.260 0.50 18-Nov-25 3.23 6.97 7.68
Sundaram Aggressive Hybrid F... 27.639 2.50 17-Nov-25 3.53 7.68 12.58
JM Liquid Fund - (IDCW-D) 10.430 0.02 17-Nov-25 2.91 6.27 6.58
HDFC Money Market Fund (IDCW... 1063.640 0.05 17-Nov-25 3.29 7.59 7.38
HDFC Overnight Fund (IDCW-D) 1042.660 0.01 17-Nov-25 2.56 5.71 6.28
LIC MF Liquid Fund - Regular... 1000.175 0.02 17-Nov-25 2.74 6.26 6.74
Franklin India Floating Rate... 10.291 0.04 17-Nov-25 2.68 7.86 7.76
* Returns upto 1 year are absolute and over 1 year are CAGR.
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