Mutual Funds »Schemes»NAV (Daily/historical)
AXIS Long Term Equity Fund (D) - NAV (Daily/historical)

Scheme Details

22.9103-0.01(-0.04)
(Rs)       (%)
NAV as on 24 Jul 15
Fund Family :AXIS Mutual Fund
Fund Class:Equity - Tax Planning
Performance
1 Week :-2.39%
1 Month:2.16%
1 Year:30.76%
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Date NAV
  (Rs)
24 Jul 15 22.9103
23 Jul 15 22.9196
22 Jul 15 23.0320
21 Jul 15 22.9001
20 Jul 15 23.2557
17 Jul 15 23.2350
16 Jul 15 23.2189
15 Jul 15 22.9610
14 Jul 15 22.7813
13 Jul 15 22.8183
10 Jul 15 22.5572
09 Jul 15 22.4546
08 Jul 15 22.5374
07 Jul 15 22.8292
06 Jul 15 22.7682
03 Jul 15 22.7093
02 Jul 15 22.7079
01 Jul 15 22.6533
30 Jun 15 22.4494
29 Jun 15 22.2915
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