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AXIS Long Term Equity Fund (D) - NAV (Daily/historical)

Scheme Details

19.35570.02(0.11)
(Rs)       (%)
NAV as on 21 Feb 17
Fund Family :AXIS Mutual Fund
Fund Class:Equity - Tax Planning
Performance
1 Week :1.14%
1 Month:6.96%
1 Year:18.75%
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Date NAV
  (Rs)
21 Feb 17 19.3557
20 Feb 17 19.3339
17 Feb 17 19.2563
16 Feb 17 19.1326
15 Feb 17 18.9223
14 Feb 17 19.1118
13 Feb 17 19.1149
10 Feb 17 19.0967
09 Feb 17 19.0398
08 Feb 17 19.0866
07 Feb 17 19.1104
06 Feb 17 19.0907
03 Feb 17 18.9815
02 Feb 17 18.9384
01 Feb 17 18.9426
31 Jan 17 20.8127
30 Jan 17 20.9913
27 Jan 17 20.9962
25 Jan 17 20.8620
24 Jan 17 20.5104
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