Latest Blog Posts
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Nippon India Multi Cap Fund – Direct Plan Growth Plan – Bonus Option
Category Equity Scheme – Multi Cap Fund NAV 330.0748 Date 18-Sep-2026 Read more
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Parag Parikh Flexi Cap Fund – Regular Plan – Growth
Category Equity Scheme – Flexi Cap Fund NAV 81.8520 Date 18-Sep-2026 Read more
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Abakkus Liquid Fund – Regular Plan – Daily IDCW Reinvestment
Category Income/Debt Oriented Schemes – Liquid Fund NAV 100.1046 Date 19-Sep-2026 Read more
Category: Latest NAV -
AlphaGrep Liquid Omni FoF- Regular Growth
Category Fund of Funds Scheme (Domestic) – Fund of Funds Scheme (Domestic) NAV 1006.9109 Date 18-Sep-2026 Read more
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Axis Overnight Fund – Direct Plan – Monthly IDCW
Category Income/Debt Oriented Schemes – Overnight Fund NAV 1004.0075 Date 18-Sep-2026 Read more
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BANK OF INDIA Large & Mid Cap Fund Eco Plan-Quarterly IDCW
Category Equity Scheme – Large & Mid Cap Fund NAV 28.88 Date 18-Sep-2026 Read more
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CANARA ROBECO LIQUID FUND – REGULAR PLAN – GROWTH OPTION
Category Income/Debt Oriented Schemes – Liquid Fund NAV 3386.1401 Date 20-Sep-2026 Read more
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DSP Small Cap Fund – Regular – Growth
Category Equity Scheme – Small Cap Fund NAV 232.2510 Date 18-Sep-2026 Read more
Category: Latest NAV -
Franklin India Mid Cap Fund – IDCW
Category Equity Scheme – Mid Cap Fund NAV 86.1305 Date 18-Sep-2026 Read more
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HDFC Mid Cap Fund – IDCW Option – Direct Plan
Category Equity Scheme – Mid Cap Fund NAV 82.17 Date 18-Sep-2026 Read more
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Helios Flexi Cap Fund – Direct Plan – Growth Option
Category Equity Schemes – Flexi Cap Fund NAV 16.20 Date 18-Sep-2026 Read more
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Invesco India Liquid Fund – Direct Plan- Daily IDCW (Reinvestment)
Category Income/Debt Oriented Schemes – Liquid Fund NAV 1005.8604 Date 18-Sep-2026 Read more
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ITI Small Cap Fund – Regular Plan – Growth Option
Category Equity Scheme – Small Cap Fund NAV 34.3867 Date 18-Sep-2026 Read more
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Kotak Contra Fund – Regular Plan – Growth
Category Equity Scheme – Contra Fund NAV 151.38 Date 18-Sep-2026 Read more
Category: Latest NAV -
Mahindra Manulife Liquid Fund – Direct Plan – Daily IDCW
Category Income/Debt Oriented Schemes – Liquid Fund NAV 1301.3112 Date 20-Sep-2026 Read more
Category: Latest NAV
