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Scheme Name NAV (Rs) as On
03-Feb-26
Dividend Record Date 6 Month [%] 1 Year [%] 3 Year [%]
Nippon India Pharma Fund (ID... 116.127 85.00 05-Feb-26 -6.14 0.99 20.95
DSP India T.I.G.E.R. Fund (I... 29.572 23.00 05-Feb-26 -1.31 4.52 23.75
Nippon India Focused Fund (I... 35.096 25.00 05-Feb-26 -0.82 8.50 14.24
DSP Focused Fund - Regular (... 22.325 18.00 05-Feb-26 1.16 7.20 18.65
Nippon India Focused Fund - ... 48.339 35.00 05-Feb-26 -0.47 9.26 15.03
Nippon India Pharma Fund - D... 164.682 120.00 05-Feb-26 -5.70 1.91 22.04
DSP Focused Fund - Direct (I... 43.892 35.00 05-Feb-26 1.72 8.37 19.91
DSP India T.I.G.E.R. Fund - ... 54.944 43.00 05-Feb-26 -0.74 5.67 24.96
DSP Global Clean Energy Over... 20.081 10.00 05-Feb-26 29.25 50.69 15.55
Tata Equity Saving Fund - (I... 17.541 0.59 04-Feb-26 1.87 5.73 9.89
* Returns upto 1 year are absolute and over 1 year are CAGR.
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