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Scheme Name
NAV
YTD (%)
1 Day (%)
1 Week (%)
1 Month (%)
3 Months (%)
6 Months(%)
1 Year (%)
3 Years (%)
5 Years (%)
10 Years (%)
Since Inception
Inception
Date
AUM
(
Cr)
Aditya Birla SL Asset Allocator FoF (G)
67.3201
6.86
0.07
1.19
2.31
7.39
6.87
9.32
18.12
17.86
12.24
10.63
17 Aug 2006
214
Aditya Birla SL Debt Plus Arbitrage FOF-Reg (G)
37.5174
4.86
0.07
0.06
0.14
2.05
4.52
8.69
7.43
6.14
7.11
7.39
29 Dec 2006
410
Aditya Birla SL FP FoF - Aggressive (G)
54.2012
6.23
0.11
1.71
2.94
9.16
6.16
7.98
19.87
19.23
12.61
12.68
09 May 2011
221
Aditya Birla SL FP FoF - Conservative (G)
34.2105
5.53
0.04
0.60
0.66
4.67
5.60
8.43
13.23
12.13
9.14
9.08
09 May 2011
16
Aditya Birla SL FP FoF - Moderate (G)
42.6162
6.36
0.10
1.26
1.87
7.20
6.38
8.72
16.54
15.72
10.86
10.78
09 May 2011
37
Aditya Birla SL Gold Fund (G)
28.0118
24.49
0.24
-3.41
0.71
7.17
24.95
31.47
21.92
13.06
12.11
8.06
20 Mar 2012
612
Aditya Birla SL Multi-Index Fund of Fund-Reg (G)
15.7587
5.02
0.12
1.10
1.85
6.46
4.74
6.24
NA
NA
NA
18.33
17 Oct 2022
19
Aditya Birla SL Silver ETF FOF (G)
16.5651
21.72
0.74
-1.14
8.67
4.98
20.18
18.74
19.64
NA
NA
15.98
03 Feb 2022
211
AXIS Equity ETFs FoF (G)
15.2837
2.48
0.17
2.22
3.54
8.97
2.50
-2.75
18.12
NA
NA
13.51
24 Feb 2022
32
AXIS Gold Fund (G)
28.1148
24.13
0.36
-3.18
0.59
7.62
24.47
30.67
21.77
13.28
11.93
7.83
20 Oct 2011
1,065
AXIS Income Plus Arbitrage Active FOF - Reg (G)
14.4502
4.94
0.06
0.04
0.23
2.64
5.27
9.20
8.01
6.65
NA
7.02
28 Jan 2020
502
AXIS Nifty AAA Bond Plus SDL Apr 2026 50:50 ETF FOF (G)
12.1986
3.65
0.08
-0.08
0.38
2.36
4.07
7.54
7.07
NA
NA
5.52
20 Oct 2021
257
AXIS Silver Fund of Fund - Regular (G)
18.4830
22.96
1.59
-0.23
9.55
5.68
21.02
19.81
NA
NA
NA
24.77
21 Sep 2022
107
Bandhan Asset Allocation FoF - Aggressive (G)
45.7316
3.73
-0.10
1.43
2.42
6.47
3.57
6.63
16.62
16.55
9.88
10.39
11 Feb 2010
19
Bandhan Asset Allocation FoF - Conservative (G)
33.5193
4.37
-0.01
0.61
1.09
3.88
4.38
7.46
9.89
8.46
7.57
8.18
11 Feb 2010
6
Bandhan Asset Allocation FoF - Moderate (G)
40.5585
3.65
-0.03
1.10
1.93
5.56
3.59
7.44
13.67
12.55
8.93
9.53
11 Feb 2010
19
Bandhan Income Plus Arbitrage FoF - Reg (G)
43.8028
4.42
0.06
0.11
0.31
2.28
4.50
8.66
7.26
5.77
7.15
7.36
13 Sep 2004
463
Baroda BNP Paribas Income Plus Arbitrage Active Fund of Funds-Reg (G)
10.0418
0.42
0.08
0.15
0.28
NA
NA
NA
NA
NA
NA
0.42
23 May 2025
80
Baroda BNP Paribas Multi Asset Active Fund Of Funds - Reg (G)
10.0514
0.51
-0.10
-0.23
0.51
NA
NA
NA
NA
NA
NA
0.51
30 May 2025
126
BHARAT Bond ETF FOF - April 2032 (G)
12.7395
5.43
-0.08
-0.12
-0.31
3.44
5.42
10.32
9.23
NA
NA
7.11
15 Dec 2021
4,557
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