akshayinvestments
Factsheet
Download latest Factsheet from here.
Performance Watch
Download the latest Performance Watch from here.
Latest Market Updates
Dowload latest Market Updates from here.
Name*:
Mobile No.*:
Email Id*:

  Schemewise
Latest NAV - Subtypewise  
Date Scheme Name Previous Todays % change
08-Sep-2010 Baroda Pioneer PSU Bond Fund - Gr 10.3886 10.3961 0.07
08-Sep-2010 Baroda Pioneer PSU Bond Fund - Monthly Div 10.0093 10.0165 0.07
08-Sep-2010 Baroda Pioneer PSU Bond Fund - Quarterly Div 10.0657 10.0730 0.07
23-Feb-2005 Birla AAF - Dynamic Debt Plan - Div (FOF) 10.4085 10.4085 0.00
23-Feb-2005 Birla AAF - Dynamic Debt Plan - Gr (FOF) 10.4085 10.4805 0.69
23-Feb-2005 Birla Sun Life Dynamic Bond Fund - Insitutional - Gr 10.1117 10.1117 0.00
23-Feb-2005 Birla Sun Life Dynamic Bond Fund - Insitutional - Monthly Div 9.9803 9.9803 0.00
23-Feb-2005 Birla Sun Life Dynamic Bond Fund - Insitutional - Quarterly Div 9.9803 9.9803 0.00
23-Feb-2005 Birla Sun Life Dynamic Bond Fund - Institutional - Annual Div 10.0000 10.0000 0.00
08-Sep-2010 Birla Sun Life Dynamic Bond Fund - Retail - Gr 15.8317 15.8350 0.02
08-Sep-2010 Birla Sun Life Dynamic Bond Fund - Retail - Monthly Div 10.4466 10.4488 0.02
08-Sep-2010 Birla Sun Life Dynamic Bond Fund - Retail - Quarterly Div 11.2243 11.2267 0.02
23-Feb-2005 Birla Sun Life Dynamic Bond Fund Insitutional Premium - Annual Div 10.0875 10.0875 0.00
23-Feb-2005 Birla Sun Life Dynamic Bond Fund Insitutional Premium - Gr 10.1252 10.1252 0.00
23-Feb-2005 Birla Sun Life Dynamic Bond Fund Insitutional Premium - Monthly Div 9.9805 9.9805 0.00
23-Feb-2005 Birla Sun Life Dynamic Bond Fund Insitutional Premium - Quarterly Div 9.9805 9.9805 0.00
08-Sep-2010 Birla Sun Life Income Fund - Gr 34.7411 34.7460 0.01
08-Sep-2010 Birla Sun Life Income Fund - Half Yearly Div 11.5599 11.5616 0.01
08-Sep-2010 Birla Sun Life Income Fund - Quarterly Div 11.0862 11.0877 0.01
23-Feb-2005 Birla Sun Life Income Plus Plan C - Instit. Div 25.2137 25.2137 0.00
23-Feb-2005 Birla Sun Life Income Plus Plan D - Instit. Gr 27.9696 27.9696 0.00
08-Sep-2010 Birla Sun Life Income Plus-A-Div 11.3808 11.3866 0.05
08-Sep-2010 Birla Sun Life Income Plus-B-Gr 42.4685 42.4899 0.05
18-Aug-2009 Birla Sun Life Medium Term Plan - Instit. - Daily Div 10.0000 10.0000 0.00
08-Sep-2010 Birla Sun Life Medium Term Plan - Instit. - Gr 10.5156 10.5168 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Instit. - Monthly Div 10.1488 10.1499 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Instit. - Quarterly Div 10.2009 10.2021 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Instit. - Weekly Div 10.0318 10.0329 0.01
NA Birla Sun Life Medium Term Plan - Regular - Daily Div NA 0.0000 NA
08-Sep-2010 Birla Sun Life Medium Term Plan - Regular - Fortnightly Div 10.1806 10.1817 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Regular - Gr 10.8426 10.8438 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Regular - Monthly Div 10.1902 10.1913 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Regular - Quarterly Div 10.1898 10.1909 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Regular - Weekly Div 10.0202 10.0213 0.01
08-Sep-2010 Birla Sun Life Medium Term Plan - Retail - Fortnightly Div 10.1825 10.1837 0.01
05-May-2006 BOB NRI Fund - Flexi Asset Bond Plan - Div. Pay 10.5205 10.5214 0.01
05-May-2006 BOB NRI Fund - Flexi Asset Bond Plan - Gr 10.5205 10.5214 0.01
12-Mar-2007 BOB NRI Fund - Flexi Asset Plan Div 10.5214 10.0721 -4.27
12-Sep-2005 BOB NRI Fund - Flexi Asset Plan Gr 10.2920 NA NA
05-May-2006 BOB NRI Fund - Long Term Bond Plan Div 10.5911 10.5922 0.01
05-May-2006 BOB NRI Fund - Long Term Bond Plan Div - Pay 10.5901 10.5922 0.02
05-May-2006 BOB NRI Fund - Long Term Bond Plan Gr 10.5900 10.5922 0.02
08-Sep-2010 BOB Pioneer Income Fund Div 14.7591 14.7607 0.01
08-Sep-2010 BOB Pioneer Income Fund Gr 14.7542 14.7558 0.01
08-Sep-2010 BSL Income Fund - Discipline Advantage Plan 10.6666 10.6681 0.01
08-Sep-2010 BSL Income Plus - Discipline Advantage Plan 10.7107 10.7161 0.05
08-Sep-2010 Canara Robeco Dynamic Bond Fund - Instit. - Div 10.3042 10.3066 0.02
08-Sep-2010 Canara Robeco Dynamic Bond Fund - Instit. - Gr 10.5526 10.5550 0.02
07-Sep-2010 Canara Robeco Dynamic Bond Fund - Instit. - Gr Automatic Repurchase 10.5365 10.5526 0.15
08-Sep-2010 Canara Robeco Dynamic Bond Fund - Retail - Div 10.2136 10.2157 0.02
08-Sep-2010 Canara Robeco Dynamic Bond Fund - Retail - Gr 10.4179 10.4200 0.02
07-Sep-2010 Canara Robeco Dynamic Bond Fund - Retail - Gr Automatic Repurchase Fund 10.4022 10.4179 0.15
08-Sep-2010 Canara Robeco Income - Bonus Plan 13.9260 13.9306 0.03
08-Sep-2010 Canara Robeco Income - Gr 19.9622 19.9687 0.03
08-Sep-2010 Canara Robeco Income - Income 13.6745 13.6790 0.03
07-Sep-2010 Canara Robeco Income Growth Auto Repurchase Fund 19.9405 19.9622 0.11
08-Sep-2010 Canara Robeco InDigo Fund - Gr 10.1183 10.1394 0.21
08-Sep-2010 Canara Robeco InDigo Fund - Quarterly Div 10.1183 10.1394 0.21
08-Sep-2010 DSP BlackRock Bond Fund - Div 10.8672 10.8692 0.02
08-Sep-2010 DSP BlackRock Bond Fund - Gr 31.1053 31.1112 0.02
24-Dec-2004 DSP BlackRock Bond Fund - Instit. Div 10.0472 10.0462 -0.01
09-Nov-2009 DSP BlackRock Bond Fund - Instit. Gr 10.0000 10.6390 6.39
08-Sep-2010 DSP BlackRock Bond Fund - Retail Monthly Div 11.0985 11.1006 0.02
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Instit. Plan - Div 1,023.3753 1,023.5279 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Instit. Plan - Gr 1,094.9781 1,095.1415 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Instit. Plan - M Div 1,021.2039 1,021.3558 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Instit. Plan - W Div 1,003.8791 1,004.0288 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Institut. Plan - Daily Div 1,002.1450 1,002.1450 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Regular Plan - Daily Div 1,001.5000 1,001.5000 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Regular Plan - Div 1,041.4728 1,041.6127 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Regular Plan - Gr 1,202.8531 1,203.0147 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Regular Plan - M Div 1,019.3176 1,019.4545 0.00
08-Sep-2010 DSP BlackRock Strategic Bond Fund - Regular Plan - W Div 1,004.5861 1,004.7212 0.00
14-Dec-2005 DWS Dynamic Bond Fund Div Annual 40.0000 NA NA
14-Dec-2005 DWS Dynamic Bond Fund Div Monthly NA NA NA
20-Dec-2005 DWS Dynamic Bond Fund Div Quarterly 10.2312 10.2312 0.00
16-Dec-2005 DWS Dynamic Bond Fund Gr 10.5146 10.5140 -0.01
28-Mar-2005 DWS Dynamic Bond Fund Instit. - Div Monthly NA NA NA
28-Mar-2005 DWS Dynamic Bond Fund Instit. - Div Monthly NA NA NA
28-Mar-2005 DWS Dynamic Bond Fund Instit. - Div Quarterly NA NA NA
28-Mar-2005 DWS Dynamic Bond Fund Instit. - Gr NA NA NA
09-Jun-2005 DWS Premier Bond Fund - Instit Plan Div A NA NA NA
08-Mar-2010 DWS Premier Bond Fund - Auto Sweep 10.6828 10.6795 -0.03
08-Sep-2010 DWS Premier Bond Fund - Instit Plan Div M 10.1398 10.1471 0.07
27-Mar-2010 DWS Premier Bond Fund - Instit Plan Div Q 9.9383 11.4198 14.91
08-Sep-2010 DWS Premier Bond Fund - Instit Plan Gr 11.0706 11.0786 0.07
08-Sep-2010 DWS Premier Bond Fund Reg Div A 12.6891 12.6981 0.07
08-Sep-2010 DWS Premier Bond Fund Reg Div M 12.2347 12.2435 0.07
08-Sep-2010 DWS Premier Bond Fund Reg Div Q 11.5774 11.5856 0.07
08-Sep-2010 DWS Premier Bond Fund Reg Gr 15.9726 15.9839 0.07
08-Sep-2010 Edelweiss Income Advantage Fund - Gr 10.2887 10.2853 -0.03
08-Sep-2010 Edelweiss Income Advantage Fund - Monthly Div 10.0431 10.0398 -0.03
08-Sep-2010 Escorts Income Bond Div 23.7605 23.7867 0.11
08-Sep-2010 Escorts Income Bond Gr 25.0557 25.0833 0.11
08-Sep-2010 Escorts Income Plan Bonus 15.8288 15.8296 0.01
08-Sep-2010 Escorts Income Plan Div - B 11.1206 11.1207 0.00
08-Sep-2010 Escorts Income Plan Div -A 11.1206 11.1207 0.00
08-Sep-2010 Escorts Income Plan Gr - A 30.0616 30.0632 0.01
08-Sep-2010 Escorts Income Plan Gr - B 30.0616 30.0632 0.01
08-Sep-2010 Fortis Bond Fund - Annual - Div 10.2546 10.2553 0.01
15-Dec-2009 Fortis Bond Fund - Fortnightly - Div 10.0746 10.0000 -0.74
08-Sep-2010 Fortis Bond Fund - Gr 11.9627 11.9635 0.01
08-Sep-2010 Fortis Bond Fund - Instit. - Annual Div 10.1627 10.1636 0.01
04-Jun-2009 Fortis Bond Fund - Instit. Fortnightly Div 10.0087 10.0187 0.10
08-Sep-2010 Fortis Bond Fund - Instit. Gr 10.2050 10.2058 0.01
08-Sep-2010 Fortis Bond Fund - Instit. Monthly Div 10.0120 10.0128 0.01
08-Sep-2010 Fortis Bond Fund - Instit. Quaterly Div 10.1268 10.1276 0.01
08-Sep-2010 Fortis Bond Fund - Monthly Div 10.0110 10.0117 0.01
08-Sep-2010 Fortis Bond Fund - Quarterly Div 10.1164 10.1170 0.01
31-Mar-2005 Fortis Flexi Debt Fund - Institutional Gr 10.1883 10.1900 0.02
23-Sep-2004 Fortis Flexi Debt Fund - Institutional Half Yearly Div NA 10.0000 NA
23-Mar-2005 Fortis Flexi Debt Fund - Institutional Monthly Div 10.0367 10.0366 -0.00
10-Nov-2004 Fortis Flexi Debt Fund - Institutional Quarterly Div 10.0476 10.0501 0.02
08-Sep-2010 Fortis Flexi Debt Fund - Regular - Daily Div 10.0889 10.0928 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular Monthly Div 10.0216 10.0255 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular Plan A Daily Div 10.0889 10.0928 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular Plan A Gr 11.1438 11.1482 0.04
25-Aug-2010 Fortis Flexi Debt Fund - Regular Plan A Half Yearly Div 10.1834 10.1771 -0.06
08-Sep-2010 Fortis Flexi Debt Fund - Regular Plan A Monthly Div 10.0218 10.0257 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular Plan A Quarterly Div 10.0930 10.0969 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular Plan A Weekly Div 10.0328 10.0367 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular Weekly Div 10.0328 10.0367 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular-Gr 16.2017 16.2080 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular-Half Yearly Div 10.2204 10.2244 0.04
08-Sep-2010 Fortis Flexi Debt Fund - Regular-Quarterly Div 10.0930 10.0969 0.04
21-Apr-2010 Franklin India International Fund 11.6535 11.6534 -0.00
22-Dec-2004 FT India Maxima Fund Div 12.3703 12.3721 0.01
22-Dec-2004 FT India Maxima Fund Gr 19.7139 19.7168 0.01
20-Dec-2004 Gic Debt Fund Gr 10.8054 15.8100 46.32
08-Sep-2010 HDFC HIF H Yearly -Div 11.1061 11.0940 -0.11
08-Sep-2010 HDFC HIF Q-Div 11.2380 11.2257 -0.11
08-Sep-2010 HDFC HIF Reg - Gr. 32.0538 32.0189 -0.11
08-Sep-2010 HDFC HIF Y-Div 11.6755 11.6628 -0.11
23-Dec-2004 HDFC Income Fund - Premium Plan - Gr 15.7104 15.7271 0.11
22-Dec-2004 HDFC Income Fund - Premium Plan Div 10.4227 10.4297 0.07
28-Sep-2004 HDFC Income Fund - Premium Plus Plan - Gr 15.7198 15.6871 -0.21
06-Oct-2004 HDFC Income Fund - Premium Plus Plan-Div 10.3993 10.3954 -0.04
08-Sep-2010 HDFC Income Fund Div 10.9652 10.9567 -0.08
08-Sep-2010 HDFC Income Fund Gr 22.0629 22.0458 -0.08
08-Sep-2010 HSBC Flexi Debt Fund - Instit. Fortnightly Div 10.0667 10.0736 0.07
08-Sep-2010 HSBC Flexi Debt Fund - Instit. Gr 12.8474 12.8562 0.07
29-Dec-2008 HSBC Flexi Debt Fund - Instit. Half Yearly Div 10.0260 10.1428 1.16
08-Sep-2010 HSBC Flexi Debt Fund - Instit. M Div 10.5509 10.5582 0.07
08-Sep-2010 HSBC Flexi Debt Fund - Instit. Quarterly Div 11.0396 11.0472 0.07
08-Sep-2010 HSBC Flexi Debt Fund - Reg. Fortnightly Div 10.7417 10.7490 0.07
08-Sep-2010 HSBC Flexi Debt Fund - Reg. Gr 12.7167 12.7253 0.07
08-Sep-2010 HSBC Flexi Debt Fund - Reg. Half -yearly Div 10.4720 10.4791 0.07
08-Sep-2010 HSBC Flexi Debt Fund - Reg. M Div 10.3187 10.3257 0.07
08-Sep-2010 HSBC Flexi Debt Fund - Reg. Q Div 11.2015 11.2091 0.07
08-Sep-2010 HSBC Income Fund Investment Plan - Div 11.1625 11.1695 0.06
08-Sep-2010 HSBC Income Fund Investment Plan - Gr 16.2446 16.2547 0.06
05-Jan-2010 HSBC Income Fund-Investment-Instit.-Div 10.9871 10.9902 0.03
08-Sep-2010 HSBC Income Fund-Investment-Instit.-Gr 10.1472 10.1537 0.06
12-Oct-2004 HSBC Instit. Income Fund - Investment Plan Div 10.1572 10.1585 0.01
23-Dec-2004 HSBC Instit. Income Fund - Investment Plan Gr 11.3500 11.3515 0.01
08-Sep-2010 ICICI Prudential Banking & PSU Debt Fund - Daily Div 10.0700 10.0700 0.00
08-Sep-2010 ICICI Prudential Banking & PSU Debt Fund - Gr 10.3713 10.3730 0.02
08-Sep-2010 ICICI Prudential Banking & PSU Debt Fund - Weekly Div 10.0331 10.0347 0.02
08-Sep-2010 ICICI Prudential Income Opportunities Fund - Retail Growth 13.0715 13.0697 -0.01
08-Sep-2010 ICICI Prudential Income Opportunities Fund Institutional Dividend - Monthly 10.2712 10.2699 -0.01
08-Sep-2010 ICICI Prudential Income Opportunities Fund Institutional Dividend - Quarterly 10.6301 10.6287 -0.01
08-Sep-2010 ICICI Prudential Income Opportunities Fund Institutional Growth 11.3557 11.3542 -0.01
08-Sep-2010 ICICI Prudential Income Opportunities Fund Retail Dividend - Monthly 11.0638 11.0622 -0.01
08-Sep-2010 ICICI Prudential Income Opportunities Fund Retail Dividend - Quarterly 10.3216 10.3201 -0.01
08-Sep-2010 ICICI Prudential Income Plan-Div HY 11.6340 11.6373 0.03
08-Sep-2010 ICICI Prudential Income Plan-Div-Quarterly 12.7268 12.7304 0.03
08-Sep-2010 ICICI Prudential Income Plan-Gr 30.4042 30.4128 0.03
08-Sep-2010 ICICI Prudential Instit. Income Plan Div HY 11.0732 11.0766 0.03
08-Sep-2010 ICICI Prudential Instit. Income Plan Div Quarterly 11.8276 11.8312 0.03
08-Sep-2010 ICICI Prudential Instit. Income Plan Gr 31.6309 31.6406 0.03
07-Sep-2010 ICICI Prudential Long Term Plan - Annual Div 10.0107 10.0091 -0.02
08-Sep-2010 ICICI Prudential Long Term Plan - Premium - Weekly Div 10.6563 10.6590 0.03
08-Sep-2010 ICICI Prudential Long Term Plan - Weekly Div 10.4138 10.4162 0.02
08-Sep-2010 ICICI Prudential Long Term Plan Cumm 20.0459 20.0504 0.02
08-Sep-2010 ICICI Prudential Long Term Plan Premium - Annual Div 10.0129 10.0154 0.02
08-Sep-2010 ICICI Prudential Long Term Plan Premium - Cumulative 10.3126 10.3152 0.03
07-Sep-2010 ICICI Prudential Long Term Plan Premium Plus - Annual Div 10.0137 10.0124 -0.01
08-Sep-2010 ICICI Prudential Long Term Plan Premium Plus - Cumulative 10.3566 10.3592 0.03
08-Sep-2010 ICICI Prudential Sweep Plan (Old) 152.6997 152.7137 0.01
08-Sep-2010 ICICI Prudential Very Cautious Plan 14.8432 14.8456 0.02
08-Sep-2010 ICICI Prudential Very Cautious Plan-Div 14.8432 14.8456 0.02
03-Jan-2005 IDFC DBF - MF Plan D - Annual Div 10.0000 10.0000 0.00
30-Dec-2004 IDFC DBF - MF Plan D - Gr 9.9044 9.9044 0.00
03-Jan-2005 IDFC DBF - MF Plan D - Quarterly Div 10.0000 10.0000 0.00
03-Jan-2005 IDFC DBF - Super Inst Plan C - Annual Div 10.0000 10.0000 0.00
03-Jan-2005 IDFC DBF - Super Inst Plan C - Gr 9.9262 9.9262 0.00
03-Jan-2005 IDFC DBF - Super Inst Plan C - Quarterly Div 9.8839 9.8839 0.00
08-Sep-2010 IDFC Dynamic Bond Fund - Div A 11.7995 11.8084 0.08
08-Sep-2010 IDFC Dynamic Bond Fund - Div Q 10.6895 10.6975 0.07
08-Sep-2010 IDFC Dynamic Bond Fund - Gr 18.3598 18.3737 0.08
08-Sep-2010 IDFC Dynamic Bond Fund - Plan B - Div 10.3752 10.3832 0.08
08-Sep-2010 IDFC Dynamic Bond Fund - Plan B - Gr 10.7721 10.7803 0.08
31-Mar-2005 IDFC Dynamic Bond Fund-Instit. B-Div Q 10.1532 10.1542 0.01
31-Mar-2005 IDFC Dynamic Bond Fund-Instit. Div-A 10.1324 10.1333 0.01
08-Sep-2010 IDFC SC - All Seasons Bond Fund - Annual Div 11.8060 11.8104 0.04
08-Sep-2010 IDFC SC - All Seasons Bond Fund - Gr 14.9577 14.9633 0.04
08-Sep-2010 IDFC SC - All Seasons Bond Fund - Half Yearly Div 11.0843 11.0884 0.04
08-Sep-2010 IDFC SC - All Seasons Bond Fund - Quarterly Div 11.2720 11.2762 0.04
31-Mar-2005 IDFC SC - All Seasons Bond Fund-Inst. Plan B - Annual Div 10.0000 10.0000 0.00
31-Mar-2005 IDFC SC - All Seasons Bond Fund-Inst. Plan B - Gr 10.2571 10.2586 0.01
31-Mar-2005 IDFC SC - All Seasons Bond Fund-Inst. Plan B - Half Yearly Div 10.0000 10.0000 0.00
31-Mar-2005 IDFC SC - All Seasons Bond Fund-Inst. Plan B - Qtrly Div 10.2571 10.0168 -2.34
12-Aug-2004 IDFC SSI - IP - MF Plan D - Annual Div 10.0000 10.0000 0.00
12-Aug-2004 IDFC SSI - IP - MF Plan D - Gr 10.0000 10.0000 0.00
12-Aug-2004 IDFC SSI - IP - MF Plan D - Half Yearly Div 10.0000 10.0000 0.00
12-Aug-2004 IDFC SSI - IP - MF Plan D - Quarterly Div 10.0000 10.0000 0.00
12-Aug-2004 IDFC SSI - IP - Super Inst Plan C - Annual Div 10.0000 10.0000 0.00
12-Aug-2004 IDFC SSI - IP - Super Inst Plan C - Gr 9.8320 9.8320 0.00
12-Aug-2004 IDFC SSI - IP - Super Inst Plan C - Half Yearly Div 10.0000 10.0000 0.00
12-Aug-2004 IDFC SSI - IP - Super Inst Plan C - Quarterly Div 10.0000 10.0000 0.00
13-Aug-2004 IDFC SSI - MT - MF Plan D - Bimonthly Div 10.0000 10.0000 0.00
06-Aug-2007 IDFC SSI - MT - MF Plan D - Gr 10.0325 11.0696 10.34
30-Dec-2004 IDFC SSI - MT - Super Inst Plan C - Bimonthly Div 9.9646 9.9646 0.00
08-Sep-2010 IDFC SSI - MT - Super Inst Plan C - Gr 10.4517 10.4537 0.02
08-Sep-2010 IDFC SSI Inv-Div-H 11.0186 11.0271 0.08
08-Sep-2010 IDFC SSI-Inv-Div-A 11.7693 11.7784 0.08
03-Jan-2005 IDFC SSI-Inv-Instit.-Div-A 11.0293 11.0293 0.00
03-Jan-2005 IDFC SSI-Inv-Instit.-Div-H 10.3967 10.3967 0.00
17-Jan-2005 IDFC SSI-Inv-Instit.-Div-Q 8.4552 8.4552 0.00
03-Jan-2005 IDFC SSI-Inv-Instit.-Gr 15.5111 15.5111 0.00
03-Jan-2005 IDFC SSI-Medium Term Inst Plan B - Gr 10.5338 10.5338 0.00
03-Jan-2005 IDFC SSI-Medium Term Inst Plan B-Bimonthly Div 9.9680 9.9680 0.00
08-Sep-2010 IDFC SSIF - Medium Term - Plan A - Gr 16.1438 16.1464 0.02
08-Sep-2010 IDFC SSIF - Medium Term - Plan A - Monthly Div 10.1668 10.1684 0.02
08-Sep-2010 IDFC SSIF - Investment Plan - Plan A - Gr 22.6041 22.6215 0.08
08-Sep-2010 IDFC SSIF - Investment Plan A - Quarterly Dividend 10.7048 10.7131 0.08
08-Sep-2010 IDFC SSIF - Medium Term Plan A - Quaterly Div 10.0413 10.0430 0.02
08-Sep-2010 IDFC SSIF - Medium Term - Plan A - Bimonthly Div 10.5267 10.5284 0.02
08-Sep-2010 IDFC SSIF - Medium Term - Plan A - Daily Div 10.2703 10.2703 0.00
08-Sep-2010 IDFC SSIF - Medium Term - Plan A - Fortnightly Div 10.0809 10.0826 0.02
08-Sep-2010 IDFC SSIF - Medium Term Instit. Plan B - Div 11.4623 11.4643 0.02
08-Sep-2010 IDFC SSIF - Medium Term Instit. Plan B - Gr 10.2509 10.2526 0.02
08-Sep-2010 IDFC SSIF - Medium Term Plan F - Div 10.0653 10.0672 0.02
08-Sep-2010 IDFC SSIF - Medium Term Plan F - Gr 10.4517 10.4537 0.02
08-Sep-2010 IDFC Super Saver Income Fund- Investment Plan B - Div 10.5857 10.5940 0.08
08-Sep-2010 IDFC Super Saver Income Fund- Investment Plan B - Growth 10.9065 10.9151 0.08
08-Sep-2010 IDFC Super Saver Income Fund- Investment Plan C- Div 10.4467 10.4549 0.08
08-Sep-2010 IDFC Super Saver Income Fund- Investment Plan C- Gr 10.5295 10.5377 0.08
07-Sep-2010 IDFC Super Saver Income Fund- Investment Plan F - Gr 10.0073 10.0233 0.16
13-Oct-2003 ING Capital Fund Div 11.2281 11.2281 0.00
13-Oct-2003 ING Capital Fund Gr 11.2281 11.2281 0.00
18-Sep-2009 ING Dynamic Duration Fund -Bonus 13.2565 13.2573 0.01
18-Sep-2009 ING Dynamic Duration Fund -Growth 13.2565 13.2573 0.01
18-Sep-2009 ING Dynamic Duration Fund -Half Yrly Div 10.3254 10.3260 0.01
18-Sep-2009 ING Dynamic Duration Fund -Monthly Div 10.2048 10.2054 0.01
18-Sep-2009 ING Dynamic Duration Fund -Quarterly Div 10.2508 10.2514 0.01
18-Sep-2009 ING Dynamic Duration Fund -Yearly Div 10.3920 10.3926 0.01
12-Jun-2009 ING Income Fund - Bonus Opt 14.5470 14.5492 0.02
08-Sep-2010 ING Income Fund - Div - Annual 10.6284 10.6304 0.02
08-Sep-2010 ING Income Fund - Div - H - Y 10.6543 10.6563 0.02
08-Sep-2010 ING Income Fund - Div - Q 11.3609 11.3629 0.02
08-Sep-2010 ING Income Fund - Gr 24.9999 25.0045 0.02
12-Jun-2009 ING Income Fund -Instit. Plan-Bonus 15.0961 15.0986 0.02
12-Jun-2009 ING Income Fund -Instit. Plan-Bonus Option Bonus 15.0961 15.0986 0.02
08-Sep-2010 ING Income Fund -Instit. Plan-Div Half Yearly 10.0000 10.0000 0.00
08-Sep-2010 ING Income Fund -Instit. Plan-Div Quarterly 10.9461 10.9483 0.02
08-Sep-2010 ING Income Fund -Instit. Plan-Div Yearly 10.0000 10.0000 0.00
08-Sep-2010 ING Income Fund -Instit. Plan-Gr 10.4686 10.4706 0.02
07-Sep-2010 ING OptiMix Active Debt Multi-Manager FoF Scheme - Div 10.1557 10.1671 0.11
07-Sep-2010 ING OptiMix Active Debt Multi-Manager FoF Scheme - Gr 12.9555 12.9701 0.11
07-Sep-2010 ING OptiMix Asset Allocator Multi Manager FoF Scheme - Div 14.8486 14.8805 0.21
07-Sep-2010 ING OptiMix Asset Allocator Multi Manager FoF Scheme - Gr 16.1186 16.1533 0.22
18-Jan-2010 ING OptiMix Dynamic Multi-Manager FoF Scheme - Series2 - Div 10.1810 10.1788 -0.02
18-Jan-2010 ING OptiMix Dynamic Multi-Manager FoF Scheme - Series2 - Gr 10.1810 10.1788 -0.02
13-Aug-2010 ING OptiMix Dynamic Multi-Manager FoF Scheme - Series3 - Div 10.5008 10.4936 -0.07
13-Aug-2010 ING OptiMix Dynamic Multi-Manager FoF Scheme - Series3 - Gr 10.5008 10.4936 -0.07
07-Sep-2010 ING OptiMix Dynamic Multi-Manager FoF Scheme - Series4 - Div 10.0479 10.0571 0.09
07-Sep-2010 ING OptiMix Dynamic Multi-Manager FoF Scheme - Series4 - Gr 10.0479 10.0570 0.09
04-Aug-2008 ING Select Debt Fund - Bonus 11.4892 11.4947 0.05
04-Aug-2008 ING Select Debt Fund - Gr 11.4892 11.4947 0.05
04-Aug-2008 ING Select Debt Fund Annual Div 10.1940 10.1988 0.05
04-Aug-2008 ING Select Debt Fund Half Yearly Div 10.2407 10.2456 0.05
04-Aug-2008 ING Select Debt Fund Qtarterly Div 10.1576 10.1625 0.05
27-Aug-2002 JF Bond Fund Div 10.5300 10.5300 0.00
27-Aug-2002 JF Bond Fund Gr 17.2600 17.2400 -0.12
08-Sep-2010 JM Income Fund - Div 10.2441 10.2452 0.01
08-Sep-2010 JM Income Fund - Gr 28.9549 28.9580 0.01
26-May-2004 JM Income Fund - Instit Plan - Div A 10.9027 NA NA
23-Dec-2004 JM Income Fund - Instit Plan - Div M 10.2951 10.3132 0.18
21-Dec-2004 JM Income Fund - Instit Plan - Div Q 10.2848 10.2990 0.14
24-Dec-2004 JM Income Fund - Instit Plan - Gr 26.8929 26.9082 0.06
08-Sep-2010 JM Income Fund- Gr-Bonus Bonus Unit 11.8458 11.8470 0.01
08-Sep-2010 JM Income Fund- Gr-Bonus Prncpal Unit 11.8458 11.8470 0.01
08-Sep-2010 JP Morgan India Active Bond Fund - Div 10.1623 10.1664 0.04
08-Sep-2010 JP Morgan India Active Bond Fund - Gr 10.7964 10.8008 0.04
24-Nov-2009 JP Morgan India Active Bond Fund - Instit. Div 10.0197 10.0364 0.17
27-Apr-2010 JP Morgan India Active Bond Fund - Instit. Gr 10.5756 10.5885 0.12
08-Sep-2010 Kotak Bond Deposit - Gr 25.0054 25.0130 0.03
08-Sep-2010 Kotak Bond Deposit - Q Div 12.2128 12.2165 0.03
08-Sep-2010 Kotak Bond Regular - Qtrly Div 10.3217 10.3249 0.03
08-Sep-2010 Kotak Bond Regular - Annual Div 17.9169 17.9224 0.03
08-Sep-2010 Kotak Bond Regular - Bonus Option 17.8697 17.8752 0.03
08-Sep-2010 Kotak Bond Regular - Gr 26.8088 26.8170 0.03
30-Dec-2004 Kotak Bond Unit Scheme 99 Instit. Plan - Gr 17.6259 17.6147 -0.06
30-Dec-2004 Kotak Bond Unit Scheme 99 Instit. Plan - Q Div 10.5834 10.5767 -0.06
08-Sep-2010 Kotak Credit Opportunities Fund - Annual Div 10.1387 10.1396 0.01
08-Sep-2010 Kotak Credit Opportunities Fund - Gr 10.1389 10.1398 0.01
08-Sep-2010 Kotak Credit Opportunities Fund - Monthly Div 10.0335 10.0344 0.01
08-Sep-2010 Kotak Credit Opportunities Fund - Quarterly Div 10.1387 10.1396 0.01
08-Sep-2010 Kotak Credit Opportunities Fund - Weekly Div 10.0407 10.0416 0.01
27-Dec-2004 Kotak Dynamic Income - Div 10.1055 10.1126 0.07
27-Dec-2004 Kotak Dynamic Income - Gr 10.2442 10.2514 0.07
08-Sep-2010 L&T Select Income Fund - Flexi Debt Fund Instit. - Div 10.0686 10.0698 0.01
08-Sep-2010 L&T Select Income Fund - Flexi Debt Fund Instit. - Gr 10.4868 10.4880 0.01
NA L&T Select Income Fund - Flexi Debt Fund Instit. - Quarterly Div NA 0.0000 NA
08-Sep-2010 L&T Select Income Fund - Flexi Debt Fund Retail - Bonus 10.4462 10.4473 0.01
08-Sep-2010 L&T Select Income Fund - Flexi Debt Fund Retail - Div 10.0558 10.0568 0.01
08-Sep-2010 L&T Select Income Fund - Flexi Debt Fund Retail - Growth 10.4464 10.4475 0.01
08-Sep-2010 L&T Select Income Fund - Flexi Debt Fund Retail - Quarterly Div 10.1656 10.1666 0.01
08-Sep-2010 L&T Triple Ace Bonus Plan - Bonus Unit 14.1824 14.1903 0.06
08-Sep-2010 L&T Triple Ace Bonus Plan - Original Unit 14.1824 14.1903 0.06
08-Sep-2010 L&T Triple Ace Cumm 25.4990 25.5131 0.06
08-Sep-2010 L&T Triple Ace Div Semi Annual 10.8209 10.8269 0.06
08-Sep-2010 L&T Triple Ace Reg - Q 11.0875 11.0936 0.06
20-Dec-2004 L&T Triple Ace-Instit. Cum 22.7049 22.7162 0.05
27-Dec-2004 L&T Triple Ace-Instit. Div 10.6966 10.7035 0.06
19-Oct-2004 L&T Triple Ace-Instit.-Div Semi Annually 10.9421 10.9421 0.00
08-Sep-2010 LIC MF Bond Div 10.8745 10.8760 0.01
08-Sep-2010 LIC MF Bond Gr 26.7516 26.7553 0.01
07-Sep-2010 Morgan Stanley Active Bond Fund - Instit. Plus - Growth 10.0000 10.0000 0.00
07-Sep-2010 Morgan Stanley Active Bond Fund - Instit. Plus - Quarterly Div 10.0000 10.0000 0.00
08-Sep-2010 Morgan Stanley Active Bond Fund - Regular - Gr 10.1558 10.1564 0.01
08-Sep-2010 Morgan Stanley Active Bond Fund - Regular - Quarterly Div 10.1558 10.1564 0.01
NA Optimix Income Growth Multi Manager - Div NA 0.0000 NA
NA Optimix Income Growth Multi Manager - Gr NA 0.0000 NA
02-May-2005 PNB Debt Fund Div 12.4185 12.4185 0.00
06-Aug-2007 PNB Debt Fund Gr 19.7991 14.0016 -29.28
08-Sep-2010 Principal Income Fund - Dividend Plan Ann 11.4190 11.4246 0.05
12-Oct-2009 Principal Income Fund - Instit. Plan AEPQ 15.3605 15.3466 -0.09
12-Oct-2009 Principal Income Fund - Instit. Plan AEPS 15.3605 15.3466 -0.09
25-Dec-2003 Principal Income Fund - Instit. Plan Div H 10.0154 10.0154 0.00
01-Mar-2004 Principal Income Fund - Instit. Plan Div M 10.0275 10.0295 0.02
08-Sep-2010 Principal Income Fund - Instit. Plan Div Q 11.9339 11.9400 0.05
06-Apr-2009 Principal Income Fund - Instit. Plan Gr 13.5948 14.6598 7.83
08-Sep-2010 Principal Income Fund - Instit. Plan Gr Accumulation 16.1988 16.2071 0.05
07-Sep-2010 Principal Income Fund Auto Earnings Payout Q 13.4427 13.4545 0.09
08-Sep-2010 Principal Income Fund Div - H 11.0382 11.0436 0.05
08-Sep-2010 Principal Income Fund Div - Q 11.1285 11.1339 0.05
08-Sep-2010 Principal Income Fund Gr 13.4545 13.4611 0.05
28-Jun-2006 Principal Money Value Bond - Div 10.6374 10.6374 0.00
28-Jun-2006 Principal Money Value Bond - Gr 19.4263 19.4263 0.00
17-Mar-2006 Principal Trust Benefit Fund Div H - Y 10.3721 10.3738 0.02
17-Mar-2006 Principal Trust Benefit Fund Div Quarterly 10.2598 10.2614 0.02
17-Mar-2006 Principal Trust Benefit Fund DIV-Annual 10.6157 10.6175 0.02
17-Mar-2006 Principal Trust Benefit Fund Gr 12.2669 12.2689 0.02
08-Sep-2010 Reliance Dynamic Bond Fund - Div 12.3704 12.3716 0.01
19-Jan-2006 Reliance Dynamic Bond Fund - Growth Plan - Bonus 10.1278 10.5082 3.76
08-Sep-2010 Reliance Dynamic Bond Fund - Growth Plan - Gr 12.3704 12.3714 0.01
08-Sep-2010 Reliance Income Fund - Gr - Bonus 14.7474 14.7518 0.03
08-Sep-2010 Reliance Income Fund - Retail Gr 31.2885 31.2980 0.03
08-Sep-2010 Reliance Income Fund - Retail Plan Annual Div 12.4423 12.4461 0.03
08-Sep-2010 Reliance Income Fund - Retail Plan Half Yearly Div 12.2239 12.2276 0.03
30-Mar-2004 Reliance Income Fund Institutional Plan - Bonus 20.5775 20.5771 -0.00
28-Jan-2005 Reliance Income Fund Institutional Plan - Growth Plan-Gr 20.9416 20.9535 0.06
28-May-2004 Reliance Income Fund Institutional Plan - Monthly Div 11.0698 11.0496 -0.18
01-Jul-2004 Reliance Income Fund Institutional Plan - Quarterly Div 10.8406 10.8421 0.01
08-Sep-2010 Reliance Income Fund- Retail Monthly Div 10.1943 10.1976 0.03
08-Sep-2010 Reliance Income Fund- Retail Quarterly Div 13.1250 13.1290 0.03
08-Sep-2010 Reliance Regular Savings Fund Debt Option - Instit. Plan Div 12.2940 12.2917 -0.02
08-Sep-2010 Reliance Regular Savings Fund Debt Option - Instit. Plan Gr 13.0130 13.0106 -0.02
08-Sep-2010 Reliance Regular Savings Fund Debt Plan - Div 12.2218 12.2192 -0.02
08-Sep-2010 Reliance Regular Savings Fund Debt Plan - Gr 12.9045 12.9018 -0.02
08-Sep-2010 Religare Active Income Fund - Instit. - Gr 10.1615 10.1628 0.01
08-Sep-2010 Religare Active Income Fund - Instit. - M Div 10.0153 10.0166 0.01
08-Sep-2010 Religare Active Income Fund - Instit. - Q Div 10.3223 10.3236 0.01
08-Sep-2010 Religare Active Income Fund - Retail - Annual Div 10.2860 10.2873 0.01
08-Sep-2010 Religare Active Income Fund - Retail - Gr 11.1464 11.1478 0.01
08-Sep-2010 Religare Active Income Fund - Retail - M Div 10.2595 10.2608 0.01
08-Sep-2010 Religare Active Income Fund - Retail - Q Div 10.1283 10.1296 0.01
08-Sep-2010 Sahara Classic Fund - Div 13.0147 13.0168 0.02
08-Sep-2010 Sahara Classic Fund - Gr 13.0152 13.0173 0.02
08-Sep-2010 Sahara Income Fund Div 14.8244 14.8266 0.01
08-Sep-2010 Sahara Income Fund Gr 18.0006 18.0033 0.01
08-Sep-2010 SBI Dynamic Bond Fund - Div 10.5184 10.5183 -0.00
08-Sep-2010 SBI Dynamic Bond Fund - Gr 11.2708 11.2707 -0.00
08-Sep-2010 SBI Magnum Income Fund Bonus Option 13.8139 13.8126 -0.01
08-Sep-2010 SBI Magnum Income Fund Div 10.6974 10.6963 -0.01
08-Sep-2010 SBI Magnum Income Fund Gr 22.8020 22.7997 -0.01
08-Sep-2010 SBI Magnum Income Plus - Savings Plan - Div 10.5254 10.5264 0.01
08-Sep-2010 SBI Magnum Income Plus - Savings Plan - Gr 10.9813 10.9823 0.01
17-Feb-2006 SBI Magnum Institutional Income Fund - Investment - Div 10.8200 10.0325 -7.28
17-Feb-2006 SBI Magnum Institutional Income Fund - Investment - Gr 10.8031 11.0243 2.05
07-Sep-2010 SBI Magnum Institutional Income Fund - Savings - Daily Div 10.0325 10.0325 0.00
07-Sep-2010 SBI Magnum Institutional Income Fund - Savings - Fortnightly Div 10.1689 10.1704 0.01
07-Sep-2010 SBI Magnum Institutional Income Fund - Savings - Gr 14.9548 14.9570 0.01
07-Sep-2010 SBI Magnum Institutional Income Fund - Savings - Weekly Div 10.6065 10.6080 0.01
14-May-2004 SUN F&C Bond Fund Div 10.4132 10.4133 0.00
14-May-2004 SUN F&C Bond Fund Gr 19.9048 19.9050 0.00
08-Sep-2010 Sundaram BNP Paribas Bond Saver - App 27.9357 27.9196 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Bonus (Bonus units) 14.7185 14.7100 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Bonus (Principal units) 14.7185 14.7100 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Div 10.3250 10.3190 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Div Ann 10.4470 10.4409 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Div -H-Y 10.5363 10.5302 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Instit Bonus - Bonus Units 14.7333 14.7251 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Instit Bonus - Principal Units 14.7333 14.7251 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Instit. Plan-Gr 31.5357 31.5182 -0.06
08-Sep-2010 Sundaram BNP Paribas Bond Saver - Instit.-Div-Q 10.4883 10.4825 -0.06
26-May-2004 Sundaram BNP Paribas Bond Saver - Instit.Div- Ann 10.5637 NA NA
26-May-2004 Sundaram BNP Paribas Bond Saver - Instit.Div- Half Yly 10.5637 NA NA
08-Sep-2010 Sundaram BNP Paribas Income Plus Div 11.8898 11.8904 0.01
08-Sep-2010 Sundaram BNP Paribas Income Plus Gr 14.6437 14.6445 0.01
21-Oct-2008 Sundaram BNP Paribas Select Debt - Dynamic Asset Plan Div-A 10.3355 16.0000 54.81
08-Apr-2009 Sundaram BNP Paribas Select Debt - Dynamic Asset Plan Div-H 10.0993 10.0988 -0.00
08-Apr-2009 Sundaram BNP Paribas Select Debt - Dynamic Asset Plan Div-Q 10.0674 10.0669 -0.00
08-Apr-2009 Sundaram BNP Paribas Select Debt - Dynamic Asset Plan G -App 13.2405 13.2398 -0.01
03-May-2004 Sundaram BNP Paribas Select Debt 3 Year Asset Plan Div-Ann 10.4574 10.4574 0.00
27-Nov-2003 Sundaram BNP Paribas Select Debt 3 Year Asset Plan Div-H 10.5500 10.5500 0.00
12-Apr-2004 Sundaram BNP Paribas Select Debt 3 Year Asset Plan Div-Q 10.2443 10.2436 -0.01
23-Apr-2004 Sundaram BNP Paribas Select Debt 3 Year Asset Plan Grw-Apprm 10.7229 10.7227 -0.00
10-Oct-2003 Sundaram BNP Paribas Select Debt 5 Year Asset Plan Div-Ann 10.0904 10.0904 0.00
10-Oct-2003 Sundaram BNP Paribas Select Debt 5 Year Asset Plan Div-H 10.0904 10.0904 0.00
10-Oct-2003 Sundaram BNP Paribas Select Debt 5 Year Asset Plan Div-Q 10.0006 10.0006 0.00
10-Oct-2003 Sundaram BNP Paribas Select Debt 5 Year Asset Plan G-App 10.0904 10.0904 0.00
24-Sep-2003 Sundaram BNP Paribas Select Debt Long Term Asset Plan Div-A 10.1891 10.1901 0.01
27-Nov-2003 Sundaram BNP Paribas Select Debt Long Term Asset Plan Div-H 10.0729 10.0746 0.02
29-Mar-2004 Sundaram BNP Paribas Select Debt Long Term Asset Plan Div-Q 10.0325 10.0326 0.00
28-Apr-2004 Sundaram BNP Paribas Select Debt Long Term Asset Plan G-App 10.5505 10.5503 -0.00
08-Sep-2010 Tata Dynamic Bond Fund Option A - Div 10.6848 10.6859 0.01
08-Sep-2010 Tata Dynamic Bond Fund Option A - Gr 14.2430 14.2445 0.01
08-Sep-2010 Tata Dynamic Bond Fund Option B - Div 10.1896 10.1907 0.01
08-Sep-2010 Tata Dynamic Bond Fund Option B - Gr 14.2489 14.2504 0.01
08-Sep-2010 Tata Income Fund (Hyly) 11.2894 11.2918 0.02
17-Aug-2004 Tata Income Fund (M) 11.1493 11.1333 -0.14
08-Sep-2010 Tata Income Fund (Q) 10.2395 10.2416 0.02
08-Sep-2010 Tata Income Fund - Bonus 14.6210 14.6240 0.02
08-Sep-2010 Tata Income Fund - Bonus Fund - Bonus 14.6210 14.6240 0.02
08-Sep-2010 Tata Income Fund - Div 16.9360 16.9395 0.02
08-Sep-2010 Tata Income Fund - Gr 29.2115 29.2176 0.02
08-Sep-2010 Tata Income Plus Fund A - Bonus 11.0409 11.0421 0.01
08-Sep-2010 Tata Income Plus Fund A - Gr 14.9151 14.9168 0.01
08-Sep-2010 Tata Income Plus Fund B - Bonus 11.0552 11.0564 0.01
08-Sep-2010 Tata Income Plus Fund B - G 14.9571 14.9588 0.01
21-Jul-2004 Tata Income Plus Fund C - Bonus 10.4695 10.4729 0.03
10-Aug-2004 Tata Income Plus Fund C - Gr 10.8016 10.8000 -0.01
09-Sep-2005 Taurus Libra Bond Fund - FMP-II 12.7400 12.8000 0.47
07-Mar-2004 Templeton India Gip Annual -Div 10.6117 10.6133 0.02
07-Mar-2004 Templeton India Gip Mthly -Div 10.6609 10.6625 0.02
25-Jul-2008 Templeton India IBA Gr Plan B Bonus 1 NA 17.4963 NA
25-Jul-2008 Templeton India IBA Gr Plan B Bonus 2 NA 17.4963 NA
30-Dec-2004 Templeton India Inc.Build - Instit. Plan Div 10.1694 10.1710 0.02
30-Dec-2004 Templeton India Inc.Build - Instit. Plan Gr 11.8080 11.8098 0.02
08-Sep-2010 Templeton India Inc.Build(A) Annual Div 10.9689 10.9715 0.02
08-Sep-2010 Templeton India Inc.Build(A) Gr 30.9485 30.9557 0.02
08-Sep-2010 Templeton India Inc.Build(A) Half Yearly 11.9195 11.9223 0.02
08-Sep-2010 Templeton India Inc.Build(A) Monthiy Bonus 16.0227 16.0264 0.02
08-Sep-2010 Templeton India Inc.Build(A) Monthly-Div 11.6778 11.6805 0.02
08-Sep-2010 Templeton India Inc.Build(A) Qtrly 12.0082 12.0110 0.02
08-Sep-2010 Templeton India Inc.Build(B) Annual Div 10.9689 10.9715 0.02
08-Sep-2010 Templeton India Inc.Build(B) Gr 30.9485 30.9557 0.02
08-Sep-2010 Templeton India Inc.Build(B) Half Yearly 11.9195 11.9223 0.02
08-Sep-2010 Templeton India Inc.Build(B) Monthly 11.6778 11.6805 0.02
08-Sep-2010 Templeton India Inc.Build(B) Qtrly 12.0082 12.0110 0.02
08-Sep-2010 Templeton India Inc.Build. Div 10.9689 10.9715 0.02
08-Sep-2010 Templeton India Income - Div 10.5249 10.5267 0.02
08-Sep-2010 Templeton India Income - Gr 32.2022 32.2078 0.02
08-Sep-2010 Templeton India Income Opportunities Fund - Div 10.5497 10.5499 0.00
08-Sep-2010 Templeton India Income Opportunities Fund - Gr 10.6353 10.6356 0.00
04-Oct-2004 UTI Bond Advantage Fund Instit. Plan Div 11.8248 10.8699 -8.08
24-Mar-2005 UTI Bond Advantage Fund Instit. Plan Div A 11.1500 11.1500 0.00
08-Sep-2010 UTI Bond Fund - Div 11.4020 11.4042 0.02
08-Sep-2010 UTI Bond Fund - Gr 27.2240 27.2293 0.02
07-Sep-2010 UTI Charitable & Religious Trust & Registered Society - Div 127.5474 127.7552 0.16
07-Sep-2010 UTI Charitable & Religious Trust & Registered Society - Gr 171.9986 172.2789 0.16
08-Sep-2010 UTI Dynamic Bond Fund - Div 10.0841 10.0854 0.01
08-Sep-2010 UTI Dynamic Bond Fund - Gr 10.0841 10.0854 0.01
08-Sep-2010 UTI Investment Bond Fund - Div 10.3712 10.3714 0.00
07-Sep-2010 UTI Investment Bond Fund - Gr 10.3712 10.3713 0.00
    | Disclaimer | Privacy Policy  | Terms of use