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  Schemewise
Latest NAV - Subtypewise  
Date Scheme Name Previous Todays % change
09-Sep-2010 AIG India Equity Fund - Div 12.6110 12.6120 0.01
09-Sep-2010 AIG India Equity Fund - Gr 12.6110 12.6120 0.01
09-Sep-2010 AIG India Equity Fund - Instit. Div 12.8880 12.8890 0.01
16-Dec-2008 AIG India Equity Fund - Instit. Gr 5.9810 6.0570 1.27
09-Sep-2010 Axis Equity Fund - Div 11.3300 11.4200 0.79
09-Sep-2010 Axis Equity Fund - Gr 11.3300 11.4200 0.79
09-Sep-2010 Benchmark Equity & Derivatives Opportunities Fund - Div 10.9675 10.9765 0.08
09-Sep-2010 Benchmark Equity & Derivatives Opportunities Fund - Gr 11.6601 11.6698 0.08
09-Sep-2010 Benchmark Hang Seng BeES 1,289.4665 1,292.6995 0.00
09-Sep-2010 Bharti AXA Equity Fund - Eco Plan Bonus 18.8600 18.8800 0.11
09-Sep-2010 Bharti AXA Equity Fund - Eco Plan Div 13.2700 13.2800 0.08
09-Sep-2010 Bharti AXA Equity Fund - Eco Plan Gr 18.8600 18.8800 0.11
09-Sep-2010 Bharti AXA Equity Fund - Eco Plan Quaterly Div 14.5000 14.5100 0.07
21-Oct-2008 Bharti AXA Equity Fund - Instit. Plan Bonus NA 10.0000 NA
21-Oct-2008 Bharti AXA Equity Fund - Instit. Plan Div NA 10.0000 NA
21-Oct-2008 Bharti AXA Equity Fund - Instit. Plan Gr NA 10.0000 NA
21-Oct-2008 Bharti AXA Equity Fund - Instit. Plan Q Div NA 10.0000 NA
09-Sep-2010 Bharti AXA Equity Fund - Regular Plan Bonus 18.7600 18.7800 0.11
09-Sep-2010 Bharti AXA Equity Fund - Regular Plan Div 13.2200 13.2300 0.08
09-Sep-2010 Bharti AXA Equity Fund - Regular Plan Gr 18.7600 18.7800 0.11
09-Sep-2010 Bharti AXA Equity Fund - Regular Plan Q Div 14.4300 14.4400 0.07
09-Sep-2010 Birla Sun Life AAF - Aggressive Plan - Div (FOF) 35.1476 35.2584 0.32
09-Sep-2010 Birla Sun Life AAF - Aggressive Plan - Gr (FOF) 35.1476 35.2584 0.32
09-Sep-2010 Birla Sun Life Advantage Fund Div 90.4300 90.7800 0.39
09-Sep-2010 Birla Sun Life Advantage Fund Gr 166.9100 167.5500 0.38
30-Jun-2009 Birla Sun Life Dividend Yield Plus - PF - Gr NA 10.0000 NA
09-Sep-2010 Birla Sun Life Dividend Yield Plus Div 15.8900 16.0400 0.94
09-Sep-2010 Birla Sun Life Dividend Yield Plus Gr 88.8700 89.7100 0.95
09-Sep-2010 Birla Sun Life Equity Fund - Div 79.9600 80.3500 0.49
09-Sep-2010 Birla Sun Life Equity Fund - Gr 284.3500 285.7400 0.49
08-Sep-2010 Birla Sun Life Frontline Equity Fund (Trigger Facility) - Gr 89.0000 89.1500 0.17
09-Sep-2010 Birla Sun Life Frontline Equity Fund Plan A - Div 22.7500 22.8600 0.48
09-Sep-2010 Birla Sun Life Frontline Equity Fund Plan A - Gr 89.1500 89.5900 0.49
09-Sep-2010 Birla Sun Life Frontline Equity Fund Plan B - Div 13.4700 13.5400 0.52
09-Sep-2010 Birla Sun Life Frontline Equity Fund Plan B - Gr 13.4700 13.5400 0.52
09-Sep-2010 Birla Sun Life India Opportunities Fund Plan A Div 18.6900 18.7600 0.37
09-Sep-2010 Birla Sun Life India Opportunities Fund Plan B Gr 54.8700 55.0900 0.40
09-Sep-2010 Birla Sun Life International Equity Fund - B - Div 9.4769 9.4924 0.16
09-Sep-2010 Birla Sun Life International Equity Fund - B - Gr 9.4769 9.4924 0.16
09-Sep-2010 Birla Sun Life Long Term Advantage Fund - Div 13.8000 13.8900 0.65
09-Sep-2010 Birla Sun Life Long Term Advantage Fund - Gr 14.9400 15.0300 0.60
09-Sep-2010 Birla Sun Life Midcap Fund Plan A - Div 26.3900 26.5400 0.57
09-Sep-2010 Birla Sun Life Midcap Fund Plan A - Gr 119.3700 120.0400 0.56
09-Sep-2010 Birla Sun Life Midcap Fund Plan B - Div 15.0700 15.1500 0.53
09-Sep-2010 Birla Sun Life Midcap Fund Plan B - Gr 15.0700 15.1500 0.53
09-Sep-2010 Birla Sun Life Pure Value Fund - Div 17.0345 17.1698 0.79
09-Sep-2010 Birla Sun Life Pure Value Fund - Gr 18.1804 18.3249 0.79
09-Sep-2010 Birla Sun Life Small and Midcap Fund - Div 13.5065 13.5929 0.64
09-Sep-2010 Birla Sun Life Small and Midcap Fund - Gr 13.5065 13.5929 0.64
09-Sep-2010 Birla Sun Life Special Situations Fund - Div 10.8614 10.9312 0.64
09-Sep-2010 Birla Sun Life Special Situations Fund - Gr 10.8614 10.9312 0.64
09-Sep-2010 Birla Sun Life Top 100 Fund - Div 15.6756 15.7694 0.60
09-Sep-2010 Birla Sun Life Top 100 Fund - Gr 22.5781 22.7133 0.60
09-Dec-2003 BOB Growth 95 10.4200 18.9400 81.77
29-Oct-2009 BOB Pioneer Diversified Fund - Div 37.5800 37.0100 -1.52
30-Oct-2009 BOB Pioneer Diversified Fund - Gr 37.0100 36.7100 -0.81
09-Sep-2010 BOB Pioneer Growth Fund - Dividend Plan 30.1700 30.4300 0.86
09-Sep-2010 BOB Pioneer Growth Fund - Growth Plan 53.5500 54.0200 0.88
20-Dec-2004 Canara Robeco bonus 16.6200 16.6400 0.12
16-Mar-2007 Canara Robeco D - Mat(GIC) 27.8100 27.5700 -0.86
08-Sep-2010 Canara Robeco Emerging Equities Fund - Repurchase Gr 24.0000 23.9200 -0.33
09-Sep-2010 Canara Robeco Emerging Equities Fund - Bonus 20.0200 20.1700 0.75
09-Sep-2010 Canara Robeco Emerging Equities Fund - Div 16.5100 16.6300 0.73
09-Sep-2010 Canara Robeco Emerging Equities Fund - Gr 23.9200 24.1000 0.75
09-Sep-2010 Canara Robeco Equity Diversified - Bonus 25.7700 25.8800 0.43
09-Sep-2010 Canara Robeco Equity Diversified - Div 25.7300 25.8400 0.43
09-Sep-2010 Canara Robeco Equity Diversified - Gr 56.5700 56.8100 0.42
23-Apr-2008 Canara Robeco Expo - Gr 54.9400 54.8300 -0.20
23-Apr-2008 Canara Robeco Expo - Income Plan 15.8700 15.8400 -0.19
09-Sep-2010 Canara Robeco F.O.R.C.E. Fund - Instit. Div 14.1000 14.2300 0.92
09-Sep-2010 Canara Robeco F.O.R.C.E. Fund - Instit. Gr 14.1000 14.2300 0.92
09-Sep-2010 Canara Robeco F.O.R.C.E. Fund - Retail Div 14.0900 14.2100 0.85
09-Sep-2010 Canara Robeco F.O.R.C.E. Fund - Retail Gr 14.0800 14.2100 0.92
23-Apr-2008 Canara Robeco Fortune 94(GIC) 39.3300 39.1100 -0.56
20-Dec-2004 Canara Robeco Global 11.1100 11.1900 0.72
16-Mar-2007 Canara Robeco Growth Plus II(GIC) 37.8200 37.5900 -0.61
09-Sep-2010 Canara Robeco Large Cap Plus Fund - Div 10.1700 10.1800 0.10
09-Sep-2010 Canara Robeco Large Cap Plus Fund - Gr 10.1700 10.1800 0.10
09-Sep-2010 Canara Robeco Multicap Fund - Div 15.2100 15.2800 0.46
09-Sep-2010 Canara Robeco Multicap Fund - Gr 16.3900 16.4700 0.49
24-Jun-2009 DSP BlackRock Equity Fund - Instit.-Div 10.8930 11.0680 1.61
09-Sep-2010 DSP BlackRock Equity Fund - Instit.-Gr 13.7370 13.8090 0.52
09-Sep-2010 DSP BlackRock Equity Fund - Reg. Plan - Div 55.0110 55.2980 0.52
09-Sep-2010 DSP BlackRock Equity Fund - Reg. Plan - Gr 17.4040 17.4950 0.52
09-Sep-2010 DSP BlackRock Focus 25 Fund - Div 10.9710 11.0400 0.63
09-Sep-2010 DSP BlackRock Focus 25 Fund - Gr 10.9710 11.0400 0.63
09-Sep-2010 DSP BlackRock Micro Cap Fund - Div 10.6470 10.8310 1.73
09-Sep-2010 DSP BlackRock Micro Cap Fund - Gr 17.5360 17.8390 1.73
09-Sep-2010 DSP BlackRock Opportunities Fund - Div 31.5050 31.7010 0.62
09-Sep-2010 DSP BlackRock Opportunities Fund - Gr 90.3700 90.9320 0.62
09-Sep-2010 DSP BlackRock Opportunities Fund - Instit, Div 11.0500 11.1190 0.62
20-Aug-2010 DSP BlackRock Opportunities Fund - Instit, Gr 10.6580 10.6650 0.07
20-Sep-2007 DSP BlackRock Small and Mid Cap - Instit. Div 12.2790 12.2930 0.11
03-Sep-2010 DSP BlackRock Small and Mid Cap - Instit. Gr 10.4920 10.6490 1.50
09-Sep-2010 DSP BlackRock Small and Mid Cap - Reg Div 17.7400 17.8330 0.52
09-Sep-2010 DSP BlackRock Small and Mid Cap - Reg Gr 19.3470 19.4480 0.52
09-Sep-2010 DSP BlackRock Top 100 Equity Fund - Instit. Div 13.6250 13.6790 0.40
09-Sep-2010 DSP BlackRock Top 100 Equity Fund - Instit. Gr 13.6250 13.6790 0.40
09-Sep-2010 DSP BlackRock Top 100 Equity Fund - Div 21.1090 21.1930 0.40
09-Sep-2010 DSP BlackRock Top 100 Equity Fund Gr 99.4970 99.8930 0.40
09-Sep-2010 DWS Alpha Equity Fund - Div 18.0200 18.1100 0.50
09-Sep-2010 DWS Alpha Equity Fund - Gr 82.7800 83.2400 0.56
09-Sep-2010 DWS Alpha Equity Fund Wealth Plan - Div 14.4100 14.4900 0.56
09-Sep-2010 DWS Alpha Equity Fund Wealth Plan - Gr 17.2400 17.3300 0.52
09-Sep-2010 DWS Investment Opportunity Fund - Div 28.5800 28.7800 0.70
09-Sep-2010 DWS Investment Opportunity Fund - Gr 41.2500 41.5400 0.70
09-Sep-2010 DWS Investment Opportunity Fund Wealth Plan - Div 14.2800 14.3800 0.70
09-Sep-2010 DWS Investment Opportunity Fund Wealth Plan - Gr 18.6800 18.8000 0.64
09-Sep-2010 Edelweiss Diversified Growth Equity Top 100 Fund - Plan A - Div 14.5700 14.6500 0.55
09-Sep-2010 Edelweiss Diversified Growth Equity Top 100 Fund - Plan A - Gr 14.5700 14.6500 0.55
09-Sep-2010 Edelweiss Diversified Growth Equity Top 100 Fund - Plan B - Div 14.6200 14.7000 0.55
09-Sep-2010 Edelweiss Diversified Growth Equity Top 100 Fund - Plan B - Gr 14.6300 14.7100 0.55
09-Sep-2010 Edelweiss Diversified Growth Equity Top 100 Fund - Plan C - Div 14.6700 14.7500 0.55
09-Sep-2010 Edelweiss Diversified Growth Equity Top 100 Fund - Plan C - Gr 14.6700 14.7500 0.55
09-Sep-2010 Edelweiss Nifty Enhancer Fund - Div 12.6300 12.7200 0.71
09-Sep-2010 Edelweiss Nifty Enhancer fund - Gr 12.6300 12.7200 0.71
09-Sep-2010 Edelweiss Nifty Enhancer Fund Plan A - Div 11.6000 11.6700 0.60
09-Sep-2010 Edelweiss Nifty Enhancer Fund Plan A - Gr 12.7200 12.8100 0.71
09-Sep-2010 Edelweiss Nifty Enhancer Fund Plan C - Div 11.2500 11.3300 0.71
09-Sep-2010 Escorts Growth Plan - D 13.6374 13.7043 0.49
09-Sep-2010 Escorts Growth Plan G 82.4138 82.8183 0.49
09-Sep-2010 Escorts High Yield Equity Plan - Bonus Option 14.6550 14.7567 0.69
09-Sep-2010 Escorts High Yield Equity Plan - Div 12.4536 12.5400 0.69
09-Sep-2010 Escorts High Yield Equity Plan - Gr 14.6217 14.7232 0.69
08-Sep-2010 Escorts Opportunities Fund-Div - A 10.2484 10.2341 -0.14
09-Sep-2010 Escorts Opportunities Fund-Div - B 10.2341 10.2407 0.06
09-Sep-2010 Escorts Opportunities Fund-Gr - A 28.2735 28.2917 0.06
08-Sep-2010 Escorts Opportunities Fund-Gr - B 28.3130 28.2735 -0.14
09-Sep-2010 Fidelity Equity Fund - Div 22.7740 22.9320 0.69
09-Sep-2010 Fidelity Equity Fund - Gr 35.9890 36.2380 0.69
09-Sep-2010 Fidelity India Growth Fund - Div 12.3910 12.4620 0.57
09-Sep-2010 Fidelity India Growth Fund - Gr 12.3910 12.4620 0.57
09-Sep-2010 Fidelity India Special Situations Fund - Div 17.2480 17.3560 0.63
09-Sep-2010 Fidelity India Special Situations Fund - Gr 19.0220 19.1400 0.62
09-Sep-2010 Fidelity India Value Fund - Div 11.7600 11.8470 0.74
09-Sep-2010 Fidelity India Value Fund - Gr 11.7600 11.8470 0.74
09-Sep-2010 Fortis China-India Fund - Div 9.0522 9.0965 0.49
09-Sep-2010 Fortis China-India Fund - Gr 9.0546 9.0988 0.49
09-Sep-2010 Fortis Dividend Yield Fund- Div 13.0930 11.6610 -10.94
09-Sep-2010 Fortis Dividend Yield Fund- Gr 18.8310 18.9290 0.52
09-Sep-2010 Fortis Equity Fund - Div 11.3800 11.4600 0.70
09-Sep-2010 Fortis Equity Fund - Gr 33.6500 33.8900 0.71
09-Sep-2010 Fortis Future Leaders Fund - Div 10.4020 10.4410 0.37
09-Sep-2010 Fortis Future Leaders Fund - Gr 10.4470 10.4860 0.37
09-Sep-2010 Fortis Opportunities Fund - Div 10.3910 10.4330 0.40
09-Sep-2010 Fortis Opportunities Fund - Gr 19.9690 20.0510 0.41
09-Sep-2010 Fortis Sustainable Development Fund - Div 11.8754 11.9581 0.70
09-Sep-2010 Fortis Sustainable Development Fund - Gr 13.0382 13.1290 0.70
09-Sep-2010 Franklin Build India Fund - Div 13.0475 13.0871 0.30
09-Sep-2010 Franklin Build India Fund - Gr 13.0475 13.0871 0.30
09-Sep-2010 Franklin India Bluechip Fund Div 42.7485 43.0043 0.60
09-Sep-2010 Franklin India Bluechip Fund Gr 213.5526 214.8307 0.60
09-Sep-2010 Franklin India Flexi Cap Fund - Div 17.0177 17.1088 0.54
09-Sep-2010 Franklin India Flexi Cap Fund - Gr 33.6031 33.7830 0.54
08-Aug-2007 Franklin India Growth Fund 34.1119 34.7349 1.83
09-Sep-2010 Franklin India High Growth Companies Fund - Div 13.7179 13.7900 0.53
09-Sep-2010 Franklin India High Growth Companies Fund - Gr 13.7179 13.7900 0.53
09-Sep-2010 Franklin India Opportunities Fund-Div 15.7790 15.8570 0.49
09-Sep-2010 Franklin India Opportunities Fund-Gr 32.8390 33.0014 0.49
09-Sep-2010 Franklin India Prima Fund Div 46.1048 46.2806 0.38
09-Sep-2010 Franklin India Prima Fund Gr 295.8869 297.0156 0.38
09-Sep-2010 Franklin India Prima Plus Div 30.5079 30.6408 0.44
09-Sep-2010 Franklin India Prima Plus Gr 227.2318 228.2215 0.44
09-Sep-2010 Franklin India Smaller Companies Fund - Div 14.4060 14.4688 0.44
09-Sep-2010 Franklin India Smaller Companies Fund - Gr 15.5587 15.6266 0.44
09-Sep-2010 FT India Dynamic PE Ratio Fund of Funds - Div 35.6831 35.7714 0.25
09-Sep-2010 FT India Dynamic PE Ratio Fund of Funds - Gr 38.9789 39.0754 0.25
09-Sep-2010 FT India Life Stage Fund Of Funds - The 20S Plan (FOF) Div 36.7796 36.9619 0.50
09-Sep-2010 FT India Life Stage Fund Of Funds - The 20S Plan (FOF) Gr 36.7796 36.9619 0.50
09-Sep-2010 HDFC Capital Builder-Div 27.2650 27.4250 0.59
09-Sep-2010 HDFC Capital Builder-Gr 112.5550 113.2180 0.59
09-Sep-2010 HDFC Core and Satellite Fund - Div 23.9810 24.0640 0.35
09-Sep-2010 HDFC Core and Satellite Fund - Gr 42.1810 42.3260 0.34
09-Sep-2010 HDFC Equity Fund - Div 52.2260 52.4310 0.39
09-Sep-2010 HDFC Equity Fund - Gr. 284.1710 285.2880 0.39
09-Sep-2010 HDFC Growth Fund Gr 89.5690 89.8820 0.35
09-Sep-2010 HDFC Growth Fund-Div 35.0750 35.1970 0.35
09-Sep-2010 HDFC Long Term Equity Fund - Div 13.9990 14.1110 0.80
09-Sep-2010 HDFC Long Term Equity Fund - Gr 16.9220 17.0570 0.80
09-Sep-2010 HDFC Mid Cap Opportunity Fund - Gr 15.9730 16.0540 0.51
09-Sep-2010 HDFC Mid Cap Opportunity Fund - Div 15.9730 16.0540 0.51
09-Sep-2010 HDFC Premier Multi-Cap Fund - Div 17.1830 17.2260 0.25
09-Sep-2010 HDFC Premier Multi-Cap Fund - Gr 30.3030 30.3780 0.25
09-Sep-2010 HDFC Top 200 Fund - Div 50.2270 50.4310 0.41
09-Sep-2010 HDFC Top 200 Fund - Gr. 212.4980 213.3620 0.41
09-Sep-2010 HSBC Dynamic Fund - Div 10.4772 10.5286 0.49
09-Sep-2010 HSBC Dynamic Fund - Gr 10.4772 10.5286 0.49
09-Sep-2010 HSBC Equity Fund - Div 28.0959 28.2332 0.49
09-Sep-2010 HSBC Equity Fund - Gr 104.0805 104.5894 0.49
09-Sep-2010 HSBC India Opportunities Fund - Div 17.7208 17.8106 0.51
09-Sep-2010 HSBC India Opportunities Fund - Gr 35.5531 35.7333 0.51
09-Sep-2010 HSBC Midcap Equity Fund - Div 16.0609 16.2555 1.21
09-Sep-2010 HSBC Midcap Equity Fund - Gr 26.1703 26.4873 1.21
09-Sep-2010 HSBC Progressive Themes Fund - Div 12.4270 12.5662 1.12
09-Sep-2010 HSBC Progressive Themes Fund - Gr 14.6099 14.7735 1.12
08-Sep-2010 HSBC Small Cap Fund - Div 13.2110 14.1783 7.32
08-Sep-2010 HSBC Small Cap Fund - Gr 13.2110 14.1783 7.32
09-Sep-2010 HSBC Unique Opportunity Fund - Div 11.5706 11.6494 0.68
09-Sep-2010 HSBC Unique Opportunity Fund - Gr 11.5706 11.6494 0.68
09-Sep-2010 ICICI Prudential Aggressive Plan 29.6770 29.6878 0.04
17-Feb-2006 ICICI Prudential Aggressive Plan NRI - Div 9.5898 19.0746 98.91
09-Sep-2010 ICICI Prudential Aggressive Plan-Div 29.6770 29.6878 0.04
09-Sep-2010 ICICI Prudential Discovery Fund - FII 22.3000 22.3700 0.31
09-Sep-2010 ICICI Prudential Discovery Fund Div 21.7600 21.8400 0.37
09-Sep-2010 ICICI Prudential Discovery Fund Gr 50.2200 50.3800 0.32
09-Sep-2010 ICICI Prudential Dynamic Equity Plan - Instit. Option - I 16.3732 16.4677 0.58
09-Sep-2010 ICICI Prudential Dynamic Plan - Div 18.7307 18.8383 0.57
09-Sep-2010 ICICI Prudential Dynamic Plan-Cum 104.7968 105.3990 0.57
09-Sep-2010 ICICI Prudential Emerging STAR Fund - Div 18.3700 18.5300 0.87
09-Sep-2010 ICICI Prudential Emerging STAR Fund - FII 15.0300 15.1600 0.86
09-Sep-2010 ICICI Prudential Emerging STAR Fund- Gr 36.8900 37.2200 0.89
09-Sep-2010 ICICI Prudential Equity & Derivatives Fund - Wealth Optimiser - Regular Div 12.8900 12.9200 0.23
09-Sep-2010 ICICI Prudential Equity & Derivatives Fund - Wealth Optimiser - Regular Gr 13.5900 13.6300 0.29
09-Sep-2010 ICICI Prudential Equity Opportunities Fund - Div 12.6900 12.7200 0.24
09-Sep-2010 ICICI Prudential Equity Opportunities Fund - Gr 13.6100 13.6400 0.22
04-Apr-2007 ICICI Prudential Equity Opportunities Fund - Instit. Div 10.0000 10.0000 0.00
09-Sep-2010 ICICI Prudential Equity Opportunities Fund - Instit. Gr 14.0400 14.0700 0.21
09-Sep-2010 ICICI Prudential Focused Bluechip Equity Fund - Div 15.9400 15.9600 0.13
09-Sep-2010 ICICI Prudential Focused Bluechip Equity Fund - Gr 15.9400 15.9600 0.13
09-Sep-2010 ICICI Prudential Focused Bluechip Equity Fund Instit. Option 1- Gr 16.2900 16.3100 0.12
23-May-2008 ICICI Prudential Focused Bluechip Equity Fund Instit. - Div NA 10.0000 NA
09-Sep-2010 ICICI Prudential Fusion Fund - Div 14.5700 14.6600 0.62
09-Sep-2010 ICICI Prudential Fusion Fund - FII 16.3200 16.4200 0.61
09-Sep-2010 ICICI Prudential Fusion Fund - Gr 15.4600 15.5500 0.58
09-Sep-2010 ICICI Prudential Fusion Fund - Series III - Div 13.1500 13.1900 0.30
09-Sep-2010 ICICI Prudential Fusion Fund - Series III - Gr 13.1500 13.1900 0.30
09-Sep-2010 ICICI Prudential Fusion Fund - Series III - Instit.. - Div 13.4900 13.5400 0.37
09-Sep-2010 ICICI Prudential Fusion Fund - Series III - Instit.. - Gr 13.4900 13.5400 0.37
09-Sep-2010 ICICI Prudential Growth Plan - FII 18.6700 18.7700 0.54
09-Sep-2010 ICICI Prudential Growth Plan-Div 18.0000 18.1000 0.56
09-Sep-2010 ICICI Prudential Growth Plan-Gr 132.9400 133.6900 0.56
09-Sep-2010 ICICI Prudential Indo Asia Equity Fund - Div 10.4800 10.4800 0.00
09-Sep-2010 ICICI Prudential Indo Asia Equity Fund - Gr 10.4800 10.4800 0.00
18-Oct-2007 ICICI Prudential Indo Asia Equity Fund - Instit. Div 10.0000 10.0000 0.00
09-Sep-2010 ICICI Prudential Indo Asia Equity Fund - Instit. Gr 10.4800 10.4800 0.00
09-Sep-2010 ICICI Prudential Power - FII 31.8000 31.8700 0.22
09-Sep-2010 ICICI Prudential Power Div 17.9300 17.9800 0.28
09-Sep-2010 ICICI Prudential Power Gr 114.5000 114.7700 0.24
09-Apr-2010 ICICI Prudential Target Returns Fund - Instit. option 1 - Gr 10.1800 10.0000 -1.77
09-Sep-2010 ICICI Prudential Target Returns Fund - Retail Div 13.9600 13.9800 0.14
09-Sep-2010 ICICI Prudential Target Returns Fund - Retail Gr 13.9600 13.9800 0.14
09-Sep-2010 ICICI Prudential Very Aggressive Plan 34.6986 34.7342 0.10
09-Sep-2010 ICICI Prudential Very Aggressive Plan-Div 34.6986 34.7342 0.10
09-Sep-2010 IDFC Classic Equity Fund - Plan A - Div 16.0015 16.0931 0.57
09-Sep-2010 IDFC Classic Equity Fund - Plan A - Gr 22.1143 22.2410 0.57
09-Sep-2010 IDFC Classic Equity Fund - Plan B - Div 14.1891 14.2704 0.57
09-Sep-2010 IDFC Classic Equity Fund - Plan B - Gr 17.5829 17.6836 0.57
09-Sep-2010 IDFC Equity Fund - Plan A - Div 13.0570 13.1556 0.76
09-Sep-2010 IDFC Equity Fund - Plan A - Gr 15.9200 16.0401 0.75
09-Sep-2010 IDFC Equity Fund - Plan B - Div 10.9856 11.0685 0.75
09-Sep-2010 IDFC Equity Fund - Plan B - Gr 13.0864 13.1852 0.75
09-Sep-2010 IDFC Imperial Equity Fund - Plan A - Div 16.3532 16.4324 0.48
09-Sep-2010 IDFC Imperial Equity Fund - Plan A - Gr 19.7836 19.8795 0.48
09-Sep-2010 IDFC Imperial Equity Fund - Plan B - Div 15.7348 15.8111 0.48
09-Sep-2010 IDFC Imperial Equity Fund - Plan B - Gr 17.0476 17.1303 0.49
09-Sep-2010 IDFC India GDP Growth Fund - Div 15.2371 15.3611 0.81
09-Sep-2010 IDFC India GDP Growth Fund - Gr 17.6469 17.7902 0.81
09-Sep-2010 IDFC Premier Equity Fund - Plan A - Div 28.2645 28.5409 0.98
09-Sep-2010 IDFC Premier Equity Fund - Plan A - Gr 34.8749 35.2159 0.98
09-Sep-2010 IDFC Premier Equity Fund - Plan B - Div 23.3621 23.5905 0.98
09-Sep-2010 IDFC Premier Equity Fund - Plan B - Gr 25.7164 25.9678 0.98
09-Sep-2010 IDFC Small & Midcap Equity Fund - Div 16.0260 16.0932 0.42
09-Sep-2010 IDFC Small & Midcap Equity Fund - Gr 19.4217 19.5032 0.42
09-Sep-2010 ING C.U.B. Fund - Bonus 18.6700 18.7500 0.43
09-Sep-2010 ING C.U.B. Fund - Div 13.6300 13.6900 0.44
09-Sep-2010 ING C.U.B. Fund - Gr 18.6700 18.7500 0.43
09-Sep-2010 ING Contra Fund - Bonus 16.9400 16.9700 0.18
09-Sep-2010 ING Contra Fund - Div 14.4500 14.4800 0.21
09-Sep-2010 ING Contra Fund - Gr 16.9400 16.9700 0.18
09-Sep-2010 ING Core Equity Fund Gr 38.6500 38.8400 0.49
09-Sep-2010 ING Core Equity Fund Div 20.4500 20.5500 0.49
12-Jun-2009 ING Dividend Yield Fund Bonus Option 13.9900 13.8000 -1.36
09-Sep-2010 ING Dividend Yield Fund Div 22.2400 22.3500 0.49
09-Sep-2010 ING Dividend Yield Fund Gr 24.4700 24.5900 0.49
12-Jun-2009 ING Domestic Opportunities Fund - Bonus 29.3900 29.0100 -1.29
09-Sep-2010 ING Domestic Opportunities Fund - Div 14.5800 14.6600 0.55
09-Sep-2010 ING Domestic Opportunities Fund - Gr 38.6000 38.8200 0.57
29-Oct-2009 ING Dynamic Asset Allocation Fund - Bonus 10.2342 10.2344 0.00
29-Oct-2009 ING Dynamic Asset Allocation Fund - Div 10.2342 10.2343 0.00
29-Oct-2009 ING Dynamic Asset Allocation Fund - Gr 10.2342 10.2343 0.00
13-Jun-2007 ING Equity Fund Div 15.9400 10.0000 -37.26
18-May-2007 ING Equity Fund Gr 33.4600 33.4300 -0.09
23-May-2008 ING LION Fund - Bonus 14.6100 14.4500 -1.10
29-May-2008 ING LION Fund - Div 9.7000 10.0000 3.09
23-May-2008 ING LION Fund - Gr 14.6100 14.4500 -1.10
12-Jun-2009 ING Midcap Fund - Bonus 15.3800 15.1000 -1.82
09-Sep-2010 ING Midcap Fund - Div 18.2200 18.2600 0.22
09-Sep-2010 ING Midcap Fund - Gr 22.9400 22.9900 0.22
26-Oct-2009 ING OptiMix Dynamic Multi-Manager FoF Scheme - Div 10.0740 10.0000 -0.73
26-Oct-2009 ING OptiMix Dynamic Multi-Manager FoF Scheme - Gr 10.0741 10.0726 -0.01
21-Dec-2009 ING OptiMix Equity Multi-Manager FoF Scheme - Div 12.3340 10.0000 -18.92
21-Dec-2009 ING OptiMix Equity Multi-Manager FoF Scheme - Gr 12.3340 12.3353 0.01
09-Sep-2010 ING OptiMix Multi Manager Equity Fund - B - Gr 11.6000 11.6700 0.60
09-Sep-2010 ING OptiMix Multi Manager Equity Fund A - Div 11.3700 11.4400 0.62
09-Sep-2010 ING OptiMix Multi Manager Equity Fund A - Gr 11.3700 11.4400 0.62
09-Sep-2010 JM Basic Fund - Div 12.8695 12.9196 0.39
09-Sep-2010 JM Basic Fund - Gr 18.4322 18.5039 0.39
09-Sep-2010 JM Contra Fund - Div 6.0863 6.1127 0.43
09-Sep-2010 JM Contra Fund - Gr 6.0863 6.1126 0.43
08-Sep-2010 JM Core 11 Fund - Series 1 - Div 4.6554 4.7371 1.75
08-Sep-2010 JM Core 11 Fund - Series 1 - Gr 4.6555 4.7371 1.75
09-Sep-2010 JM Emerging Leaders Fund - Div 9.4653 9.5148 0.52
09-Sep-2010 JM Emerging Leaders Fund - Gr 9.4449 9.4943 0.52
09-Sep-2010 JM Equity Fund Div 15.2265 15.2527 0.17
09-Sep-2010 JM Equity Fund Gr 37.4016 37.4660 0.17
09-Sep-2010 JM Housing, Infrastructure & Financial Services Fund - Div 6.0943 6.1712 1.26
09-Sep-2010 JM Housing, Infrastructure & Financial Services Fund - Gr 6.0942 6.1712 1.26
09-Sep-2010 JM Large Cap Fund - Div 14.0566 14.1399 0.59
09-Sep-2010 JM Large Cap Fund - Gr 19.1154 19.2286 0.59
09-Sep-2010 JM Mid Cap Fund - Div 19.9210 19.9172 -0.02
09-Sep-2010 JM Mid Cap Fund - Gr 29.0774 29.0720 -0.02
09-Sep-2010 JM Multi Strategy Fund - Div 14.7422 14.7595 0.12
09-Sep-2010 JM Multi Strategy Fund - Gr 15.8519 15.8706 0.12
09-Sep-2010 JM Small & Midcap Fund - Div 6.5725 6.5654 -0.11
09-Sep-2010 JM Small & Midcap Fund - Gr 6.5725 6.5654 -0.11
06-Dec-2007 JM Small & Midcap Fund - Instit. Div 10.0000 10.0000 0.00
06-Dec-2007 JM Small & Midcap Fund - Instit. Gr 10.0000 10.0000 0.00
09-Sep-2010 JP Morgan India Equity Fund - Div 12.5860 12.6680 0.65
09-Sep-2010 JP Morgan India Equity Fund - Gr 13.5550 13.6440 0.66
09-Sep-2010 JP Morgan India Smaller Companies Fund - Div 8.3090 8.3810 0.87
09-Sep-2010 JP Morgan India Smaller Companies Fund - Gr 8.3090 8.3810 0.87
09-Sep-2010 Kotak 30 Div 32.9420 33.1570 0.65
09-Sep-2010 Kotak 30 Gr 104.4480 105.1270 0.65
09-Sep-2010 Kotak Blended FOF - Div 10.7480 10.7640 0.15
09-Sep-2010 Kotak Contra Scheme - Div 18.6250 18.6990 0.40
09-Sep-2010 Kotak Contra Scheme - Gr 23.1090 23.2010 0.40
01-Apr-2008 Kotak Dynamic FOF - Gr 18.7010 18.7054 0.02
09-Sep-2010 Kotak Emerging Equity Scheme - Div 13.2110 13.2940 0.63
09-Sep-2010 Kotak Emerging Equity Scheme - Gr 13.2110 13.2950 0.64
09-Sep-2010 Kotak Equity FOF - Div 38.0580 38.2650 0.54
09-Sep-2010 Kotak Equity FOF - Gr 39.0980 39.3110 0.54
21-Oct-2008 Kotak Flexi Fund of Fund - Gr 13.9050 13.9080 0.02
21-Oct-2008 Kotak Flexi Fund of Fund - Div 13.9050 13.9080 0.02
08-Apr-2009 Kotak Flexi Fund of Funds - Series I - Div 11.0020 10.0000 -9.11
08-Apr-2009 Kotak Flexi Fund of Funds - Series I - Gr 11.0000 11.0030 0.03
27-Jul-2009 Kotak Flexi Fund of Funds - Series II - Div 11.3610 11.3670 0.05
30-Jun-2009 Kotak Global India Div 14.0570 13.6620 -2.81
30-Jun-2009 Kotak Global India Gr 19.8350 19.2780 -2.81
09-Sep-2010 Kotak Lifestyle - Div 12.5560 12.5980 0.33
09-Sep-2010 Kotak Lifestyle - Gr 14.4970 14.5460 0.34
09-Sep-2010 Kotak Midcap - Div 19.4810 19.7080 1.17
09-Sep-2010 Kotak Midcap - Gr 28.0060 28.3320 1.16
30-Jun-2009 Kotak MNC 25.3550 25.0090 -1.36
09-Sep-2010 Kotak Nifty ETF 564.6586 568.1003 0.61
09-Sep-2010 Kotak Opportunities Fund - Div 15.8970 16.0160 0.75
09-Sep-2010 Kotak Opportunities Fund - Gr 49.1410 49.5060 0.74
09-Sep-2010 Kotak Select Focus Fund - Div 12.3380 12.4490 0.90
09-Sep-2010 Kotak Select Focus Fund - Gr 12.3380 12.4490 0.90
09-Sep-2010 Kotak Sensex Exchange Traded Fund 189.6060 191.0321 0.75
09-Sep-2010 L&T Contra Fund - Cum 11.1700 11.1900 0.18
09-Sep-2010 L&T Contra Fund - Div 11.1700 11.1900 0.18
08-Sep-2010 L&T Growth Fund - Cum - Bonus 39.0000 39.2300 0.59
09-Sep-2010 L&T Growth Fund - Gr 39.2300 39.3600 0.33
09-Sep-2010 L&T Growth Fund - Qtly Div 18.5300 18.5900 0.32
09-Sep-2010 L&T Hedged Equity Fund - Div 10.0500 10.1000 0.50
09-Sep-2010 L&T Hedged Equity Fund - Gr 14.1600 14.2300 0.49
09-Sep-2010 L&T Midcap Fund - Cum 43.1700 43.4500 0.65
09-Sep-2010 L&T Midcap Fund - Div 24.9100 25.0800 0.68
09-Sep-2010 L&T Multicap Cum 19.6800 19.8200 0.71
09-Sep-2010 L&T Multicap Div 15.6900 15.8000 0.70
09-Sep-2010 L&T Opportunites - Cumm 46.0400 46.1900 0.33
09-Sep-2010 L&T Opportunities - Q Div 20.1600 20.2300 0.35
09-Sep-2010 L&T Small Cap Fund - Cumulative 6.1700 6.1900 0.32
09-Sep-2010 L&T Small Cap Fund - Dividend 6.1700 6.1900 0.32
09-Sep-2010 LIC MF Equity Fund Div 10.6982 10.7764 0.73
09-Sep-2010 LIC MF Equity Fund Gr 27.1471 27.3455 0.73
09-Sep-2010 LIC MF Growth Fund Div 11.7582 11.8541 0.82
09-Sep-2010 LIC MF Growth Fund Gr 13.2572 13.3652 0.81
09-Sep-2010 LIC MF India Vision Fund - 3 Years Closed Ended - Gr 9.3715 9.4527 0.87
09-Sep-2010 LIC MF India Vision Fund - 3 Years Closed Ended - Div 9.3716 9.4527 0.87
09-Sep-2010 LIC MF Opportunities Fund - Div 10.8656 10.9356 0.64
09-Sep-2010 LIC MF Opportunities Fund - Gr 19.0898 19.2128 0.64
09-Sep-2010 LIC MF Systematic Asset Allocation Fund - Div 10.4979 10.5221 0.23
09-Sep-2010 LIC MF Systematic Asset Allocation Fund - Gr 10.4979 10.5221 0.23
09-Sep-2010 LIC MF Top 100 Fund - Div 8.4585 8.5049 0.55
09-Sep-2010 LIC MF Top 100 Fund - Gr 8.4585 8.5048 0.55
09-Sep-2010 Mirae Asset Emerging Bluechip Fund - Div 11.2410 11.2980 0.51
09-Sep-2010 Mirae Asset Emerging Bluechip Fund - Gr 11.2410 11.2980 0.51
09-Sep-2010 Mirae Asset India Opportunities Fund - Div 15.1690 15.2420 0.48
09-Sep-2010 Mirae Asset India Opportunities Fund - Gr 16.3510 16.4290 0.48
03-Jun-2009 Mirae Asset India Opportunities Fund - Instit. Div 10.6180 10.7730 1.46
NA Mirae Asset India Opportunities Fund - Instit. Gr NA 0.0000 NA
09-Sep-2010 Morgan Stanley A.C.E. Fund - Div 15.7150 15.7790 0.41
09-Sep-2010 Morgan Stanley A.C.E. Fund - Gr 15.7150 15.7790 0.41
09-Sep-2010 Morgan Stanley Growth Fund - Div 21.4980 21.5850 0.40
09-Sep-2010 Morgan Stanley Growth Fund - Gr 65.9750 66.2430 0.41
09-Sep-2010 Motilal Oswal MOSt Shares M50 ETF - Gr 81.4900 81.8992 0.50
NA PNB EGF 95 NA 0.0000 NA
NA PNB EGF 96 NA 0.0000 NA
09-Sep-2010 Principal Dividend Yield Fund - Div 18.1900 18.3400 0.82
09-Sep-2010 Principal Dividend Yield Fund - Gr 24.6500 24.8500 0.81
09-Sep-2010 Principal Emerging Bluechip Fund - Div 26.7300 26.8800 0.56
09-Sep-2010 Principal Emerging Bluechip Fund - Gr 33.7900 33.9800 0.56
04-Aug-2006 Principal Equity Fund Ann Div 23.6400 23.5300 -0.47
04-Aug-2006 Principal Equity Fund Div 23.6400 23.5300 -0.47
04-Aug-2006 Principal Equity Fund Gr 29.4100 29.7700 1.22
02-Nov-2007 Principal Focussed Advantage Fund - Div 18.7700 19.0400 1.44
02-Nov-2007 Principal Focussed Advantage Fund - Gr 20.8400 21.1400 1.44
09-Sep-2010 Principal Growth Fund Div 24.9600 25.0100 0.20
09-Sep-2010 Principal Growth Fund Div-Annual 24.9600 25.0100 0.20
09-Sep-2010 Principal Growth Fund Gr 55.0800 55.2000 0.22
14-Aug-2009 Principal Junior Cap Fund - Div 16.7900 16.7900 0.00
14-Aug-2009 Principal Junior Cap Fund - Gr 16.7800 16.7900 0.06
09-Sep-2010 Principal Large Cap Fund - Div 20.0300 20.1200 0.45
09-Sep-2010 Principal Large Cap Fund - Gr 29.2400 29.3600 0.41
09-Sep-2010 Principal PNB Long Term Equity Fund - 3 Year Plan - Series II - Div 12.5900 12.6700 0.64
09-Sep-2010 Principal PNB Long Term Equity Fund - 3 Year Plan - Series II - Gr 12.5800 12.6700 0.72
09-Sep-2010 Principal PNB Long Term Equity Fund 3 Years Plan - Series I - Div 12.2400 12.3200 0.65
09-Sep-2010 Principal PNB Long Term Equity Fund 3 Years Plan - Series I - Gr 12.2400 12.3200 0.65
09-Sep-2010 Principal Resurgent India Equity Div 13.3400 13.3900 0.37
09-Sep-2010 Principal Resurgent India Equity Gr 93.9300 94.2200 0.31
09-Sep-2010 PSU Bank Benchmark Exchange Traded Scheme 451.6557 462.8407 2.48
09-Sep-2010 Quantum Equity FoF - Div 14.4800 14.5450 0.45
09-Sep-2010 Quantum Equity FoF - Gr 14.4780 14.5430 0.45
09-Sep-2010 Quantum Long Term Equity Fund - Div 22.7200 22.8000 0.35
09-Sep-2010 Quantum Long Term Equity Fund - Gr 22.5300 22.6100 0.36
09-Sep-2010 Reliance Banking Exchange Traded Fund 1,147.0969 1,173.1601 0.00
09-Sep-2010 Reliance Equity Advantage Fund - Div 13.0113 13.0734 0.48
09-Sep-2010 Reliance Equity Advantage Fund - Gr 13.0113 13.0734 0.48
09-Sep-2010 Reliance Equity Advantage Fund - Gr - Bonus 13.0113 13.0734 0.48
09-Sep-2010 Reliance Equity Advantage Fund - Instit. Plan Div 13.2310 13.2942 0.48
26-Aug-2010 Reliance Equity Advantage Fund - Instit. Plan Gr 12.8975 12.9474 0.39
09-Sep-2010 Reliance Equity Advantage Fund - Instit. Plan Gr Bonus 13.2310 13.2942 0.48
09-Sep-2010 Reliance Equity Fund - Bonus 15.4881 15.5817 0.60
09-Sep-2010 Reliance Equity Fund - Div 15.4881 15.5817 0.60
09-Sep-2010 Reliance Equity Fund - Gr 15.4881 15.5817 0.60
06-Apr-2010 Reliance Equity Fund - Instit. Plan Div 10.0000 10.0000 0.00
06-Apr-2010 Reliance Equity Fund - Instit. Plan Gr 10.0000 10.0000 0.00
06-Apr-2010 Reliance Equity Fund - Instit. Plan Gr Bonus 10.0000 10.0000 0.00
09-Sep-2010 Reliance Equity Opportunities Fund - Div 26.4760 26.7122 0.89
09-Sep-2010 Reliance Equity Opportunities Fund - Gr 37.4809 37.8153 0.89
09-Sep-2010 Reliance Equity Opportunities Fund - Growth - Bonus 37.4809 37.8153 0.89
09-Sep-2010 Reliance Equity Opportunities Fund - Instit. Plan Div 37.5326 37.8677 0.89
06-Apr-2010 Reliance Equity Opportunities Fund - Instit. Plan Gr 10.0000 10.0000 0.00
06-Apr-2010 Reliance Equity Opportunities Fund - Instit. Plan Growth - Bonus 10.0000 10.0000 0.00
09-Sep-2010 Reliance Growth Fund - Instit. Plan Div 488.0724 491.3032 0.66
09-Sep-2010 Reliance Growth Fund - Instit. Plan Gr 504.4613 507.8006 0.66
06-Apr-2010 Reliance Growth Fund - Instit. Plan Gr - Bonus 10.0000 10.0000 0.00
09-Sep-2010 Reliance Growth Fund Div 61.3950 61.8010 0.66
09-Sep-2010 Reliance Growth Fund Gr 500.8543 504.1669 0.66
09-Sep-2010 Reliance Growth Fund Gr - Bonus 83.0792 83.6287 0.66
09-Sep-2010 Reliance Long Term Equity Fund - Div 17.0934 17.2265 0.78
09-Sep-2010 Reliance Long Term Equity Fund - Gr 17.0934 17.2266 0.78
09-Sep-2010 Reliance Natural Resources Fund - Bonus 10.6110 10.6822 0.67
09-Sep-2010 Reliance Natural Resources Fund - Div 10.6110 10.6822 0.67
09-Sep-2010 Reliance Natural Resources Fund - Gr 10.6110 10.6822 0.67
01-Apr-2010 Reliance Natural Resources Fund - Instit. Bonus 10.1158 10.0000 -1.14
01-Apr-2010 Reliance Natural Resources Fund - Instit. Div 10.1158 10.0000 -1.14
01-Apr-2010 Reliance Natural Resources Fund - Instit. Gr 10.1158 10.0000 -1.14
09-Sep-2010 Reliance NRI Equity Fund - Div 24.3177 24.4766 0.65
09-Sep-2010 Reliance NRI Equity Fund - Gr 40.8723 41.1409 0.66
09-Sep-2010 Reliance NRI Equity Fund - Gr - Bonus 40.8723 41.1400 0.65
06-Apr-2010 Reliance Quant Plus Fund - Instit. Bonus 10.0000 10.0000 0.00
06-Apr-2010 Reliance Quant Plus Fund - Instit. Div 10.0000 10.0000 0.00
06-Apr-2010 Reliance Quant Plus Fund - Instit. Gr 10.0000 10.0000 0.00
09-Sep-2010 Reliance Quant Plus Fund - Retail Bonus 13.1608 13.2236 0.48
09-Sep-2010 Reliance Quant Plus Fund - Retail Div 13.1607 13.2235 0.48
09-Sep-2010 Reliance Quant Plus Fund - Retail Gr 13.1607 13.2235 0.48
09-Sep-2010 Reliance Regular Savings Fund Equity Plan - Div 25.4143 25.5352 0.48
09-Sep-2010 Reliance Regular Savings Fund Equity Plan - Gr 32.6038 32.7590 0.48
NA Reliance Small Cap Fund - Bonus NA 0.0000 NA
NA Reliance Small Cap Fund - Div NA 0.0000 NA
NA Reliance Small Cap Fund - Gr NA 0.0000 NA
09-Sep-2010 Reliance Vision Fund - Instit. Plan Div 258.7238 260.2870 0.60
09-Sep-2010 Reliance Vision Fund - Instit. Plan Gr 281.6647 283.3666 0.60
06-Apr-2010 Reliance Vision Fund - Instit. Plan Growth Bonus 10.0000 10.0000 0.00
09-Sep-2010 Reliance Vision Fund Div 46.0156 46.2934 0.60
09-Sep-2010 Reliance Vision Fund Gr 282.0946 283.7975 0.60
09-Sep-2010 Reliance Vision Fund Growth Plan Bonus Option 47.3751 47.6611 0.60
09-Sep-2010 Religare Business Leaders Fund - Div 12.5300 12.6200 0.72
09-Sep-2010 Religare Business Leaders Fund - Gr 12.5300 12.6200 0.72
09-Sep-2010 Religare Contra Fund - Div 13.0000 13.0600 0.46
09-Sep-2010 Religare Contra Fund - Gr 16.8100 16.8900 0.48
09-Sep-2010 Religare Equity Fund - Div 12.9300 12.9600 0.23
09-Sep-2010 Religare Equity Fund - Gr 12.9300 12.9700 0.31
09-Sep-2010 Religare Growth Fund - Div 13.0200 13.1300 0.84
09-Sep-2010 Religare Growth Fund - Gr 13.0300 13.1400 0.84
09-Sep-2010 Religare Midcap Fund - Div 15.6300 15.7200 0.58
09-Sep-2010 Religare Midcap Fund - Gr 15.6200 15.7100 0.58
09-Sep-2010 Religare PSU Equity Fund - Div 11.8300 11.9500 1.01
09-Sep-2010 Religare PSU Equity Fund - Gr 11.8400 11.9500 0.93
09-Sep-2010 Religare Small and Mid Cap Fund - Div 15.5700 15.7000 0.83
09-Sep-2010 Religare Small and Mid Cap Fund - Gr 15.5700 15.7100 0.90
09-Sep-2010 Sahara Growth Fund Div 31.5172 31.7295 0.67
09-Sep-2010 Sahara Growth Fund Gr 84.0647 84.6310 0.67
09-Sep-2010 Sahara Midcap Fund - Auto Payout 33.4270 33.6764 0.75
09-Sep-2010 Sahara Midcap Fund - Bonus 33.4270 33.6764 0.75
09-Sep-2010 Sahara Midcap Fund - Div 17.8994 18.0330 0.75
09-Sep-2010 Sahara Midcap Fund - Gr 33.4270 33.6764 0.75
09-Sep-2010 Sahara Star Value Fund - Div 12.2226 12.3255 0.84
09-Sep-2010 Sahara Star Value Fund - Gr 13.3019 13.4143 0.84
09-Sep-2010 Sahara Super 20 Fund - Div 11.6613 11.7386 0.66
09-Sep-2010 Sahara Super 20 Fund - Gr 11.6621 11.7395 0.66
09-Sep-2010 Sahara Wealth Plus Fund - Fixed Div 22.3379 22.4182 0.36
09-Sep-2010 Sahara Wealth Plus Fund - Fixed Gr 22.3379 22.4182 0.36
09-Sep-2010 Sahara Wealth Plus Fund Variable - Div 23.1411 23.2248 0.36
09-Sep-2010 Sahara Wealth Plus Fund Variable - Gr 23.1412 23.2249 0.36
09-Sep-2010 SBI Magnum Blue Chip Fund - Div 13.1800 13.2500 0.53
09-Sep-2010 SBI Magnum Blue Chip Fund - Gr 15.1200 15.2000 0.53
09-Sep-2010 SBI Magnum COMMA Fund - Div 17.6100 17.6800 0.40
09-Sep-2010 SBI Magnum COMMA Fund - Gr 26.0700 26.1800 0.42
09-Sep-2010 SBI Magnum Equity Fund - Div 33.5200 33.7800 0.78
09-Sep-2010 SBI Magnum Equity Fund - Gr 44.4300 44.7700 0.77
09-Sep-2010 SBI Magnum Global Fund 94 - Div 33.7600 34.0000 0.71
09-Sep-2010 SBI Magnum Global Fund 94 - Gr 60.3800 60.8300 0.75
17-Feb-2006 SBI Magnum Growth Fund 11.0000 25.1200 128.36
09-Sep-2010 SBI Magnum MidCap Fund - Div 19.5400 19.6000 0.31
09-Sep-2010 SBI Magnum MidCap Fund - Gr 25.4800 25.5500 0.27
09-Sep-2010 SBI Magnum Multicap Fund - Div 14.3300 14.4500 0.84
09-Sep-2010 SBI Magnum Multicap Fund - Gr 18.8600 19.0200 0.85
09-Sep-2010 SBI Magnum Multiplier Plus 93 - Div 62.1500 62.5800 0.69
09-Sep-2010 SBI Magnum Multiplier Plus 93 - Gr 87.5300 88.1400 0.70
09-Sep-2010 SBI Magnum NRI Investment Fund - FlexiAsset Plan - Div 29.8445 29.9166 0.24
09-Sep-2010 SBI Magnum NRI Investment Fund - FlexiAsset Plan - Gr 29.7333 29.8051 0.24
09-Sep-2010 SBI Magnum Sector Fund Umbrella - Contra - Div 24.2100 24.3400 0.54
09-Sep-2010 SBI Magnum Sector Fund Umbrella - Contra - Gr 60.7300 61.0500 0.53
09-Sep-2010 SBI Magnum Sector Fund Umbrella Emerging Businesses Fund-Div 19.3700 19.3800 0.05
09-Sep-2010 SBI Magnum Sector Fund Umbrella Emerging Businesses Fund-Gr 43.6600 43.6600 0.00
09-Sep-2010 SBI One India Fund - Div 11.7200 11.7900 0.60
09-Sep-2010 SBI One India Fund - Gr 11.7100 11.7900 0.68
09-Sep-2010 Shinsei Industry Leaders Fund - Div 11.7700 11.8200 0.42
09-Sep-2010 Shinsei Industry Leaders Fund - Gr 11.7700 11.8200 0.42
14-May-2004 SUN F&C Value Fund Div 17.2300 16.0500 -6.85
14-May-2004 SUN F&C Value Fund Gr 33.7800 31.4600 -6.87
09-Sep-2010 Sundaram BNP Paribas Equity Multiplier Fund - Div 12.1116 12.0787 -0.27
09-Sep-2010 Sundaram BNP Paribas Equity Multiplier Fund - Gr 14.8470 14.8066 -0.27
09-Sep-2010 Sundaram BNP Paribas Growth Fund Div 13.0199 13.0902 0.54
09-Sep-2010 Sundaram BNP Paribas Growth Fund Gr 97.4917 98.0182 0.54
09-Sep-2010 Sundaram BNP Paribas India Leadership Fund - Div 13.2721 13.3297 0.43
09-Sep-2010 Sundaram BNP Paribas India Leadership Fund - Gr 43.2773 43.4650 0.43
04-Sep-2009 Sundaram BNP Paribas India Leadership Fund - Instit. Gr 32.6951 33.2426 1.67
09-Sep-2010 Sundaram BNP Paribas Rural India Fund - Div 14.7266 14.9239 1.34
09-Sep-2010 Sundaram BNP Paribas Rural India Fund - Gr 16.1693 16.3860 1.34
04-Sep-2009 Sundaram BNP Paribas Rural India Fund - Instit. Gr 9.9358 33.2426 234.57
09-Sep-2010 Sundaram BNP Paribas S.M.I.L.E. Fund - Div 14.0445 14.1182 0.52
09-Sep-2010 Sundaram BNP Paribas S.M.I.L.E. Fund - Gr 36.1297 36.3194 0.53
09-Sep-2010 Sundaram BNP Paribas S.M.I.L.E. Fund - Instit. Div 14.1538 14.2284 0.53
09-Sep-2010 Sundaram BNP Paribas S.M.I.L.E. Fund - Instit. Gr 36.4017 36.5936 0.53
09-Sep-2010 Sundaram BNP Paribas Select Focus - Div 11.9640 11.9718 0.07
09-Sep-2010 Sundaram BNP Paribas Select Focus - Gr 92.3598 92.4203 0.07
25-Aug-2010 Sundaram BNP Paribas Select Focus - Instit. Div 11.7296 11.5968 -1.13
09-Sep-2010 Sundaram BNP Paribas Select Focus - Instit. Gr 92.9680 93.0306 0.07
09-Sep-2010 Sundaram BNP Paribas Select Midcap - Div 20.3007 20.5019 0.99
09-Sep-2010 Sundaram BNP Paribas Select MidCap - Gr 162.4558 164.0663 0.99
09-Sep-2010 Sundaram BNP Paribas Select Midcap - Instit. Appreciation 163.1130 164.7322 0.99
08-Sep-2010 Sundaram BNP Paribas Select Midcap - Instit. Div 18.9201 18.9553 0.19
09-Sep-2010 Sundaram BNP Paribas Select Small-Cap Fund - Div 14.7833 14.8398 0.38
09-Sep-2010 Sundaram BNP Paribas Select Small-Cap Fund - Gr 14.7825 14.8389 0.38
09-Sep-2010 Tata Capital Builder Fund - Div 15.0144 15.1192 0.70
09-Sep-2010 Tata Capital Builder Fund - Gr 16.0812 16.1935 0.70
09-Sep-2010 Tata Contra Fund - Div 16.0252 16.1011 0.47
09-Sep-2010 Tata Contra Fund - Gr 18.2157 18.3020 0.47
09-Sep-2010 Tata Dividend Yield Fund - Div 21.8697 22.0176 0.68
09-Sep-2010 Tata Dividend Yield Fund - Gr 33.7588 33.9872 0.68
09-Sep-2010 Tata Equity Management Fund - Div 14.2192 14.3153 0.68
09-Sep-2010 Tata Equity Management Fund - Gr 15.3235 15.4272 0.68
09-Sep-2010 Tata Equity Opportunities Fund - Div 23.5216 23.6721 0.64
09-Sep-2010 Tata Equity Opportunities Fund - Gr 86.0469 86.5975 0.64
09-Sep-2010 Tata Equity P/E Fund Div Trigger Option B (10 Percentage) 41.7394 42.0889 0.84
09-Sep-2010 Tata Equity P/E Fund Dividend Trigger Option A 40.2536 40.5907 0.84
09-Sep-2010 Tata Equity P/E Fund Gr 48.8639 49.2733 0.84
09-Sep-2010 Tata Growth Fund - App 47.0599 47.2328 0.37
09-Sep-2010 Tata Growth Fund - Bonus 42.7645 42.9217 0.37
09-Sep-2010 Tata Growth Fund - Div 18.8235 18.8927 0.37
09-Sep-2010 Tata Mid Cap Fund - Div 16.3295 16.4053 0.46
09-Sep-2010 Tata Mid Cap Fund - Gr 19.0216 19.1099 0.46
09-Sep-2010 Tata Pure Equity Fund - Div 39.0506 39.2835 0.60
09-Sep-2010 Tata Pure Equity Fund - Gr 103.8071 104.4265 0.60
09-Sep-2010 Tata Select Equity Fund Div 49.1469 49.2113 0.13
09-Sep-2010 Tata Select Equity Fund Gr 68.5118 68.6014 0.13
08-Sep-2010 Taurus Bonanza Fund - Bonus Plan 43.6400 43.5800 -0.14
09-Sep-2010 Taurus Bonanza Fund - Div 43.8600 44.1100 0.57
09-Sep-2010 Taurus Bonanza Fund Gr 43.5800 43.8300 0.57
09-Sep-2010 Taurus Discovery Fund - Div 17.8400 17.9800 0.78
09-Sep-2010 Taurus Discovery Fund - Gr 17.8200 17.9600 0.79
09-Sep-2010 Taurus Ethical Fund - Bonus 24.7300 24.8900 0.65
09-Sep-2010 Taurus Ethical Fund - Div 18.5400 18.6600 0.65
09-Sep-2010 Taurus Ethical Fund - Gr 24.7400 24.9000 0.65
08-Sep-2010 Taurus Libra Leap - Div 10.5000 10.5000 0.00
08-Sep-2010 Taurus Libra Leap - Gr 10.5000 10.5000 0.00
09-Sep-2010 Taurus Starshare Div 41.3900 41.8200 1.04
09-Sep-2010 Taurus Starshare Growth 58.7900 59.4000 1.04
09-Sep-2010 Templeton India Growth Fund Div 59.2070 59.6797 0.80
09-Sep-2010 Templeton India Growth Fund Gr 125.8585 126.8633 0.80
09-Sep-2010 UTI Contra Fund - Div 13.5900 13.6400 0.37
09-Sep-2010 UTI Contra Fund - Gr 14.7200 14.7800 0.41
09-Sep-2010 UTI Dividend Yield Fund. - Div 15.6300 15.7000 0.45
09-Sep-2010 UTI Dividend Yield Fund. - Gr 32.6000 32.7400 0.43
19-Apr-2007 UTI Dynamic Equity Fund Div 18.3200 18.2700 -0.27
19-Apr-2007 UTI Dynamic Equity Fund Gr 33.5500 33.4500 -0.30
09-Sep-2010 UTI Equity Fund - Div 47.8200 48.0200 0.42
09-Sep-2010 UTI Equity Fund - Gr 54.1100 54.3300 0.41
22-Mar-2005 UTI Gr & Val Fund Bonus Fund Bonus Units 13.1500 13.1500 0.00
22-Mar-2005 UTI Gr & Val Fund Bonus Fund Principal Units 13.1500 13.1500 0.00
19-Apr-2007 UTI Gr & Val Fund Div Ann 22.8500 22.9200 0.31
19-Apr-2007 UTI Gr & Val Fund Div Hly 15.9500 16.0000 0.31
01-Aug-2007 UTI Gr & Val Fund Gr 56.6900 10.4530 -81.56
19-Jul-2005 UTI Grandmaster 1993 23.6300 23.6300 0.00
20-May-2009 UTI Index Select Equity Fund - Div 15.7500 15.5600 -1.21
20-May-2009 UTI Index Select Equity Fund - Gr 36.0100 35.5800 -1.19
01-Aug-2007 UTI India Advantage Equity Fund Div 8.3500 10.3175 23.56
19-Apr-2007 UTI India Advantage Equity Fund Gr 8.3400 8.3600 0.24
09-Sep-2010 UTI India Lifestyle Fund - Div 11.7900 11.8700 0.68
09-Sep-2010 UTI India Lifestyle Fund - Gr 11.7900 11.8700 0.68
12-Apr-2007 UTI Large Cap Fund - Div 16.5100 16.4300 -0.48
12-Apr-2007 UTI Large Cap Fund - Gr 18.9400 18.8400 -0.53
09-Sep-2010 UTI Leadership Equity Fund - Div 14.8200 14.9000 0.54
09-Sep-2010 UTI Leadership Equity Fund - Gr 15.9800 16.0700 0.56
09-Sep-2010 UTI Long Term Advantage Fund I - Div 13.3500 13.4100 0.45
09-Sep-2010 UTI Long Term Advantage Fund I - Gr 13.3500 13.4100 0.45
09-Sep-2010 UTI Master Equity Plan Unit Scheme 49.8200 50.0900 0.54
09-Sep-2010 UTI Master Plus Unit Scheme - Div 60.5300 60.8600 0.55
09-Sep-2010 UTI Master Plus Unit Scheme - Gr 83.9600 84.4100 0.54
09-Sep-2010 UTI Master Share - Div 31.9400 32.0700 0.41
09-Sep-2010 UTI Master Share - Gr 54.1000 54.3100 0.39
09-Sep-2010 UTI Master Value Fund - Div 25.3900 25.5300 0.55
09-Sep-2010 UTI Master Value Fund - Gr 55.3400 55.6300 0.52
09-Sep-2010 UTI Mid Cap Fund - Div 25.8600 25.9900 0.50
09-Sep-2010 UTI Mid Cap Fund - Gr 34.7500 34.9200 0.49
09-Sep-2010 UTI Opportunities Fund - Div 14.3600 14.3500 -0.07
09-Sep-2010 UTI Opportunities Fund - Gr 26.8800 26.8700 -0.04
19-Jul-2005 UTI PEF Unit Fund 27.2100 27.2100 0.00
09-Sep-2010 UTI Top 100 Fund - Div 22.3900 22.4100 0.09
09-Sep-2010 UTI Top 100 Fund - Gr 28.8200 28.8500 0.10
19-Jul-2005 UTI Unit Scheme 92 32.3700 32.3700 0.00
09-Sep-2010 UTI Variable Investment Scheme - Gr 16.7334 16.8099 0.46
09-Sep-2010 UTI Variable Investment Scheme - Income 12.5797 12.6372 0.46
09-Sep-2010 UTI Wealth Builder Fund - Div 14.5400 14.5900 0.34
09-Sep-2010 UTI Wealth Builder Fund - Gr 16.6900 16.7400 0.30
09-Sep-2010 UTI Wealth Builder Fund - Series II - Div 15.3600 15.3700 0.07
09-Sep-2010 UTI Wealth Builder Fund - Series II - Gr 19.0900 19.1100 0.10
26-Mar-2009 UTI Wealth Builder Fund - Series II - Instit. Div 10.7900 10.9900 1.85
05-Jan-2009 UTI Wealth Builder Fund - Series II - Instit. Gr 10.1300 10.1100 -0.20
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