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Scheme Name NAV (Rs) as On
05-Feb-26
Dividend Record Date 6 Month [%] 1 Year [%] 3 Year [%]
Nippon India Balanced Advant... 32.510 2.20 10-Feb-26 2.32 6.44 11.60
Nippon India Balanced Advant... 46.374 2.20 10-Feb-26 3.13 7.91 13.19
Nippon India Multi Asset All... 24.285 1.50 10-Feb-26 12.86 21.60 21.01
Nippon India Multi Asset All... 26.144 1.50 10-Feb-26 13.51 23.01 22.51
ICICI Pru Banking & Financia... 31.990 58.00 09-Feb-26 3.66 14.09 15.84
ICICI Pru Bond Fund - Regula... 11.371 0.50 09-Feb-26 1.27 6.09 7.51
ICICI Pru Banking & Financia... 77.160 58.00 09-Feb-26 4.05 14.99 16.76
ICICI Pru Bond Fund - Direct... 11.755 0.62 09-Feb-26 1.47 6.51 7.93
Baroda BNP Paribas Arbitrage... 10.518 0.60 09-Feb-26 2.71 6.02 6.87
Baroda BNP Paribas Arbitrage... 10.871 0.60 09-Feb-26 3.13 6.88 7.66
* Returns upto 1 year are absolute and over 1 year are CAGR.
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