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

Scheme Details

22.70790.05(0.24)
(Rs)       (%)
NAV as on 02 Jul 15
Fund Family :AXIS Mutual Fund
Fund Class:Equity - Tax Planning
Performance
1 Week :0.66%
1 Month:2.80%
1 Year:31.54%
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Date NAV
  (Rs)
02 Jul 15 22.7079
01 Jul 15 22.6533
30 Jun 15 22.4494
29 Jun 15 22.2915
26 Jun 15 22.5563
25 Jun 15 22.5589
24 Jun 15 22.4249
23 Jun 15 22.4670
22 Jun 15 22.3798
19 Jun 15 22.1008
18 Jun 15 21.9980
17 Jun 15 21.6992
16 Jun 15 21.4923
15 Jun 15 21.4349
12 Jun 15 21.3558
11 Jun 15 21.4505
10 Jun 15 21.7809
09 Jun 15 21.4980
08 Jun 15 21.5966
05 Jun 15 21.8482
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