Kotak asset allocator fund growth nav history
Web28 feb. 2024 · NAV as on February 28, 2024: ` 12.8989. Performance of Nippon India Asset Allocato r FOF as on 28/02/2024. Particulars. Web8 jan. 2004 · Kotak Multi Asset Allocator Fund of Fund - Dynamic - Growth Fund House: Kotak Mahindra Mutual Fund Status: Open Ended Schemes Minimum Investment: 5,000 Minimum Topup: 1,000 Total Assets: 783.79 Cr As on (28-02-2024) Turn over: 27.21% Exit Load: For units in excess of 8% of the investment,1% will be charged for …
Kotak asset allocator fund growth nav history
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Web27 mrt. 2024 · Detailed analysis & complete track record of Kotak Multi Asset Allocator Fund of Fund - Dynamic Growth. Get latest updates on, Dividends, Returns, Risks, … Web12 apr. 2024 · Kotak Multi Asset Allocator Fund of Fund - Dynamic - Growth Regular Direct Category : Fund of Funds Fund House : Kotak Mahindra Mutual Fund NAV : ₹ 151.34 0.16% (as on 06th April,...
Web10 mrt. 2024 · Kotak Multi Asset Allocator Fund Of Fund Dynamic Growth - Get the Latest SIP Returns & Rankings, Ratings, NAV, Fund Performance, Expense Ratio, … WebKotak SIP calculator for Mutual Funds To calculate lumpsum returns, visit the Kotak Mutual Fund Lumpsum Calculator Select a Fund If I had invested Rs every month Between and SIP Calculators SIP Calculator Axis ICICI Prudential HDFC Aditya Birla Sun Life Nippon India SBI UTI Kotak Franklin Templeton DSP IDFC L&T
WebICICI Prudential Large & Mid Cap Fund-IDCW. Historical Mutual Fund NAV of ICICI Prudential NASDAQ 100 Index Fund IDCW Select Start Date Select End Date Submit … WebFund - Growth % For 3 Years Year. Fund Details. Fund Category : Tax Saving : ELSS Minimum Investment: 5000.0 Nav: 25.11 Equity - Largecap Min SIP:₹ 500. 0 Risk ...
Web28 nov. 2013 · The NAV is now calculated as follows : Net Asset Value (NAV) = (Market Value of investment (s) held by the fund + Value of Current Assets + Any accrued …
Web8 jan. 2004 · Kotak Multi Asset Allocator Fund of Fund - Dynamic - Growth. Fund House: Kotak Mahindra Mutual Fund. Category: Fund of Funds-Domestic-Hybrid. Launch … i don\u0027t have any sistersWeb18 nov. 2024 · Kotak Multi Asset Allocator FoF - Dynamic Regular-IDCW Fund Key Highlights 1. Current NAV: The Current Net Asset Value of the Kotak Multi Asset Allocator FoF - Dynamic Regular Plan as of Apr 03, 2024 is Rs 146.57 for IDCW option of its Regular plan. 2. Returns: Its trailing returns over different time periods are: 11.06% (1yr), 24.33% … i don\u0027t have any spoonsWebMutual Fund Historical Dividends; Mutual Fund Annual Returns; Mutual Fund PPF vs ELSS; Latest Nav; ... Nav Date Nav Units Cumulative Units Cash Flow Net Amount … i don\u0027t have anything else to sayWeb24 dec. 2024 · Current NAV: The Current Net Asset Value of the Kotak Multi Asset Allocator FoF - Dynamic Regular Plan as of Apr 12, 2024 is Rs 152.09 for Growth … is scrod a fishWeb19 sep. 2024 · Net Asset Value (NAV) of Kotak Savings Fund Direct Growth as on (01.01.2024) explained. Explore NAV history of Kotak Savings Fund Direct Growth & … is scroller legitWebNAV History. Download. NAV as on 31-Jan-2024. All NAV's for a date. Historical NAV for a period. View High/Low NAV for a period by Month / Year. Compare NAV of a scheme … i don\u0027t have any referencesWebLatest NAV for Kotak Multi Asset Allocator FoF-Dynamic is at ₹ 160.27 ... Add to Watchlist. Home. Social. Search. More. Kotak Multi Asset Allocator FoF-Dynamic. … i don\u0027t have anything in spanish