Scheme Details| 111.8790 |  | 0.39(0.35) | | (Rs) | | (%) | | NAV as on 17 May 13 |
| | | Performance |
|---|
| 1 Week | : | 1.95% | | 1 Month | : | 7.69% | | 1 Year | : | 21.05% |
|
| |
| Date | NAV |
| | (Rs) |
| 17 May 13 | 111.8790 |
| 16 May 13 | 111.4900 |
| 15 May 13 | 110.5710 |
| 14 May 13 | 108.1830 |
| 13 May 13 | 108.1030 |
| 10 May 13 | 109.7310 |
| 09 May 13 | 108.9350 |
| 08 May 13 | 109.2150 |
| 07 May 13 | 109.1810 |
| 06 May 13 | 108.1020 |
| 03 May 13 | 107.2610 |
| 02 May 13 | 108.6760 |
| 30 Apr 13 | 107.4640 |
| 29 Apr 13 | 106.5930 |
| 26 Apr 13 | 105.7100 |
| 25 Apr 13 | 106.6920 |
| 22 Apr 13 | 105.9370 |
| 18 Apr 13 | 105.3300 |
| 17 Apr 13 | 103.8870 |
| 16 Apr 13 | 103.9300 |
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