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

Scheme Details

22.66630.04(0.16)
(Rs)       (%)
NAV as on 21 May 15
Fund Family :AXIS Mutual Fund
Fund Class:Equity - Tax Planning
Performance
1 Week :2.29%
1 Month:1.20%
1 Year:48.22%
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Date NAV
  (Rs)
21 May 15 22.6663
20 May 15 22.6294
19 May 15 22.5121
18 May 15 22.5216
15 May 15 22.3523
14 May 15 22.1587
13 May 15 22.1107
12 May 15 21.8297
11 May 15 22.1813
08 May 15 21.8153
07 May 15 21.4342
06 May 15 21.6645
05 May 15 22.2540
04 May 15 22.1932
30 Apr 15 21.9548
29 Apr 15 21.9075
28 Apr 15 21.7718
27 Apr 15 21.5899
24 Apr 15 21.9362
23 Apr 15 22.3695
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