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Scheme Name NAV (Rs) as On
13-Jan-26
Dividend Record Date 6 Month [%] 1 Year [%] 3 Year [%]
Sundaram Aggressive Hybrid F... 27.010 2.50 16-Jan-26 0.97 7.49 12.61
UTI-Multi Asset Allocation F... 30.450 2.55 16-Jan-26 6.71 13.21 20.25
Sundaram Balanced Advantage ... 15.272 1.15 16-Jan-26 1.20 7.19 10.48
Mirae Asset Low Duration Fun... 1013.481 1.30 16-Jan-26 2.64 6.96 7.01
UTI-Multi Asset Allocation F... 35.488 2.55 16-Jan-26 7.33 14.57 21.46
Sundaram Aggressive Hybrid F... 41.966 3.50 16-Jan-26 1.53 8.68 13.92
Sundaram Balanced Advantage ... 18.809 1.40 16-Jan-26 1.95 8.75 12.09
Mirae Asset Low Duration Fun... 1015.087 1.45 16-Jan-26 2.98 7.65 8.05
Nippon India Large Cap Fund ... 28.239 12.50 15-Jan-26 1.65 11.51 18.79
Nippon India Value Fund (IDCW) 45.907 32.50 15-Jan-26 1.16 9.01 21.52
* Returns upto 1 year are absolute and over 1 year are CAGR.
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