Scheme Details| 16.6201 |  | 0.04(0.25) | | (Rs) | | (%) | | NAV as on 20 May 13 |
| | | Performance |
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| 1 Week | : | 1.70% | | 1 Month | : | 6.38% | | 1 Year | : | 22.16% |
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| | Total Assets (Rs cr) | : | 139 |
Load Details| Exit (From Date: Aug 24, 09) | Investment Period | Ivestment Amount (Rs) | Exit Load (%) | | Below 12 months | N.A. | 1.00% |
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