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  Schemewise
Latest NAV - Subtypewise  
Date Scheme Name Previous Todays % change
12-Sep-2010 AIG India Liquid Fund - Instit Gr 1,206.2728 1,206.5683 0.00
05-Nov-2007 AIG India Liquid Fund - Retail Bonus 1,009.2210 1,009.4200 0.00
12-Sep-2010 AIG India Liquid Fund - Retail Daily Div 1,001.0000 1,001.0000 0.00
12-Sep-2010 AIG India Liquid Fund - Retail Gr 1,195.3359 1,195.6091 0.00
12-Sep-2010 AIG India Liquid Fund - Retail M Div 1,003.0894 1,003.3186 0.00
12-Sep-2010 AIG India Liquid Fund - Retail Q Div 1,011.4822 1,011.7133 0.00
12-Sep-2010 AIG India Liquid Fund - Retail W Div 1,001.4430 1,001.6718 0.00
21-Sep-2007 AIG India Liquid Fund Instit - Qtrly Div NA 1,000.0000 NA
12-Sep-2010 AIG India Liquid Fund Instit - W Div 1,001.4759 1,001.7212 0.00
12-Sep-2010 AIG India Liquid Fund Instit. - Daily Div 1,001.0000 1,001.0000 0.00
12-Sep-2010 AIG India Liquid Fund Instit. - Gr 1,206.2728 1,206.5683 0.00
14-Mar-2009 AIG India Liquid Fund Instit. - M Div 1,000.0000 1,001.8900 0.00
12-Sep-2010 AIG India Liquid Fund Super Instit - W Div 1,001.4869 1,001.7377 0.00
12-Sep-2010 AIG India Liquid Fund Super Instit. - Daily Div 1,001.0000 1,001.0000 0.00
12-Sep-2010 AIG India Liquid Fund Super Instit. - Gr 1,209.8626 1,210.1655 0.00
09-Sep-2010 Axis Liquid Fund - Institutional Daily Div 1,000.0164 1,000.0164 0.00
09-Sep-2010 Axis Liquid Fund - Institutional Gr 1,042.3918 1,042.5508 0.00
09-Sep-2010 Axis Liquid Fund - Institutional Monthly Div 1,002.0409 1,002.1936 0.00
09-Sep-2010 Axis Liquid Fund - Institutional Weekly Div 1,002.3944 1,002.5487 0.00
09-Sep-2010 Axis Liquid Fund - Retail Daily Div 1,000.0232 1,000.0232 0.00
09-Sep-2010 Axis Liquid Fund - Retail Gr 1,025.1866 1,025.3373 0.00
09-Sep-2010 Axis Liquid Fund - Retail Monthly Div 1,001.9100 1,002.0572 0.00
09-Sep-2010 Axis Liquid Fund - Retail Weekly Div 1,000.2872 1,000.4342 0.00
09-Sep-2010 Baroda Pioneer Liquid Fund - Instit. Daily Div 10.0063 10.0063 0.00
09-Sep-2010 Baroda Pioneer Liquid Fund - Instit. Gr 10.7813 10.7829 0.01
09-Sep-2010 Bharti AXA Liquid Fund - Instit. Plan - Daily Div 1,000.0000 1,000.0000 0.00
09-Sep-2010 Bharti AXA Liquid Fund - Instit.Plan - Gr 1,124.9874 1,125.1379 0.00
22-Sep-2008 Bharti AXA Liquid Fund - Instit.Plan - Monthly Div NA 1,001.9102 NA
09-Sep-2010 Bharti AXA Liquid Fund - Instit.Plan - W Div 1,000.2560 1,000.3897 0.00
09-Sep-2010 Bharti AXA Liquid Fund - Retail Plan - Gr 1,113.2274 1,113.3608 0.00
06-May-2010 Bharti AXA Liquid Fund - Retail Plan - M Div 1,001.9100 10.0000 900.00
09-Sep-2010 Bharti AXA Liquid Fund - Retail Plan- Daily Div 1,000.0000 1,000.0000 0.00
09-Sep-2010 Bharti AXA Liquid Fund - Retail Plan- W. Div 1,000.2313 1,000.3529 0.00
09-Sep-2010 Bharti AXA Liquid Fund - Super Instit. Plan - Daily Div 1,000.0000 1,000.0000 0.00
09-Sep-2010 Bharti AXA Liquid Fund - Super Instit. Plan - Gr 1,128.6091 1,128.7632 0.00
31-Aug-2010 Bharti AXA Liquid Fund - Super Instit. Plan - Weekly Div 1,000.0000 1,000.1371 0.00
09-Sep-2010 Birla Sun Life Cash Manager - Daily Div 10.0045 10.0045 0.00
09-Sep-2010 Birla Sun Life Cash Manager - Gr 22.9314 22.9349 0.02
09-Sep-2010 Birla Sun Life Cash Manager - IP - Daily Div 10.0030 10.0030 0.00
09-Sep-2010 Birla Sun Life Cash Manager - IP - Gr 15.7511 15.7536 0.02
09-Sep-2010 Birla Sun Life Cash Manager - IP - Weekly Div 10.0038 10.0054 0.02
09-Sep-2010 Birla Sun Life Cash Manager - W.Div 10.0037 10.0052 0.01
09-Sep-2010 Birla Sun Life Cash Plus - Div - Rein 16.3694 16.3694 0.00
11-Mar-2005 Birla Sun Life Cash Plus - Div Monthly Payout 10.0070 NA NA
09-Sep-2010 Birla Sun Life Cash Plus - Gr 24.9418 24.9449 0.01
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Div Daily 10.8023 10.8023 0.00
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Div Fortnightly 10.8386 10.8402 0.01
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Div Weekly 10.8145 10.8160 0.01
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Gr 25.3589 25.3625 0.01
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Premium Plan - Daily Div 10.0195 10.0195 0.00
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Premium Plan - Fortnightly Div 10.0000 10.0000 0.00
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Premium Plan - Gr 15.0630 15.0652 0.01
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Premium Plan - M Div 10.0000 10.0000 0.00
09-Sep-2010 Birla Sun Life Cash Plus - Instit. Premium Plan - W Div 10.0300 10.0316 0.02
09-Sep-2010 Birla Sun Life Discipline Advantage Plan(BCP) 10.4736 10.4749 0.01
07-May-2010 Birla Sweep Plan Div 10.1186 10.1175 -0.01
21-Nov-2004 Birla Sweep Plan Gr 11.0326 10.0509 -8.90
09-Sep-2010 BOB Pioneer Liquid Fund Daily Div 10.0606 10.0606 0.00
09-Sep-2010 BOB Pioneer Liquid Fund Div 14.0003 14.0024 0.01
09-Sep-2010 BOB Pioneer Liquid Fund Gr 16.3402 16.3426 0.01
16-Jan-2004 Canara Robeco Liquid Fund - Div Reinvest 10.0039 10.0049 0.01
12-Sep-2010 Canara Robeco Liquid Fund - Div Reinvest Daily 10.0700 10.0700 0.00
12-Sep-2010 Canara Robeco Liquid Fund - Fortnightly Div Reinvest 10.0650 10.0689 0.04
12-Sep-2010 Canara Robeco Liquid Fund - Gr 17.0653 17.0719 0.04
28-Apr-2004 Canara Robeco Liquid Fund - Gr (GIC) 11.1739 11.1747 0.01
12-Sep-2010 Canara Robeco Liquid Fund - Instit Plan - Fortnightly Div 10.0550 10.0550 0.00
08-Sep-2010 Canara Robeco Liquid Fund - Instit Plan - Q Div 10.0550 10.0550 0.00
08-Sep-2010 Canara Robeco Liquid Fund - Instit. Monthly Div - Rei 10.0550 10.0550 0.00
12-Sep-2010 Canara Robeco Liquid Fund - Instit. Plan - Div Reinvest Daily 10.0550 10.0550 0.00
12-Sep-2010 Canara Robeco Liquid Fund - Instit. Plan - Gr 17.1048 17.1118 0.04
12-Sep-2010 Canara Robeco Liquid Fund - Instit. Weekly Div - Rei 10.0577 10.0619 0.04
12-Sep-2010 Canara Robeco Liquid Fund - Monthly Div Reinvest Fund 10.0750 10.0789 0.04
12-Sep-2010 Canara Robeco Liquid Fund - Super Instit. Plan - Div Daily Rei. 10.0550 10.0550 0.00
12-Sep-2010 Canara Robeco Liquid Fund - Super Instit. Plan - Fortnightly Div Rein 10.0550 10.0550 0.00
12-Sep-2010 Canara Robeco Liquid Fund - Super Instit. Plan - Gr 11.4452 11.4502 0.04
08-Sep-2010 Canara Robeco Liquid Fund - Super Instit. Plan - Monthly Div 10.0550 10.0550 0.00
12-Sep-2010 Canara Robeco Liquid Fund - Super Instit. Plan - Weekly Div 10.0565 10.0610 0.04
12-Sep-2010 Canara Robeco Liquid Fund - W Div Rein. 10.0563 10.0602 0.04
19-Feb-2010 DSP BlackRock Cash Manager Fund - Instit. Daily 1,000.1000 1,000.1000 0.00
19-Feb-2010 DSP BlackRock Cash Manager Fund - Instit. Gr 1,167.4355 1,167.5493 0.00
19-Feb-2010 DSP BlackRock Cash Manager Fund - Instit. W Div 1,000.2000 1,000.2975 0.00
19-Feb-2010 DSP BlackRock Cash Manager Fund - Retail Daily Div 1,000.0000 1,000.0000 0.00
19-Feb-2010 DSP BlackRock Cash Manager Fund - Retail Gr 1,166.0403 1,166.1539 0.00
19-Feb-2010 DSP BlackRock Cash Manager Fund - Retail W Div 1,000.2000 1,000.2967 0.00
09-Sep-2010 DSP BlackRock Liquidity Fund - Div 12.4214 12.4104 -0.09
09-Sep-2010 DSP BlackRock Liquidity Fund - Div Daily 10.0100 10.0100 0.00
09-Sep-2010 DSP BlackRock Liquidity Fund - Gr 22.3535 22.3569 0.02
09-Sep-2010 DSP BlackRock Liquidity Fund - Institutional - Daily Div 1,000.3161 1,000.3161 0.00
09-Sep-2010 DSP BlackRock Liquidity Fund - Institutional - Gr 1,346.8936 1,347.1059 0.00
09-Sep-2010 DSP BlackRock Liquidity Fund - Institutional Plan - W. Div 1,001.1250 1,000.2000 0.00
09-Sep-2010 DWS Insta Cash Plus Fund - Daily Div 10.3010 10.3010 0.00
09-Sep-2010 DWS Insta Cash Plus Fund - Div M 11.0828 11.0845 0.02
09-Sep-2010 DWS Insta Cash Plus Fund - Div Weekly 10.3593 10.3608 0.01
09-Sep-2010 DWS Insta Cash Plus Fund - Gr 15.7568 15.7592 0.02
09-Sep-2010 DWS Insta Cash Plus Fund - Instit. Plan Daily - Div 10.0516 10.0516 0.00
09-Sep-2010 DWS Insta Cash Plus Fund - Instit. Plan Gr 14.8176 14.8198 0.01
09-Sep-2010 DWS Insta Cash Plus Fund - Instit. Plan M - Div 10.0546 10.0562 0.02
09-Sep-2010 DWS Insta Cash Plus Fund - Instit. Plan W -Div 10.0850 10.0866 0.02
09-Sep-2010 DWS Insta Cash Plus Fund - Reg. W. Bonus Option ( Bonus Units ) 11.6970 11.6988 0.02
14-Mar-2010 DWS Insta Cash Plus Fund - Reg. W. Bonus Option ( Principal Units ) 11.4234 11.4257 0.02
09-Sep-2010 DWS Insta Cash Plus Fund - Super Instit. Plan - Daily Div 10.0304 10.0304 0.00
05-Aug-2010 DWS Insta Cash Plus Fund - Super Instit. Plan - W Div 10.0382 10.0000 -0.38
09-Sep-2010 DWS Insta Cash Plus Fund - Super Instit. Plan Gr 12.2223 12.2242 0.02
09-Sep-2010 Edelweiss Liquid Fund - Instit. Daily Div 10.0000 10.0000 0.00
19-May-2010 Edelweiss Liquid Fund - Instit. Gr 10.0000 10.0009 0.01
22-Jul-2010 Edelweiss Liquid Fund - Instit. Weekly Div 10.0000 10.0014 0.01
09-Sep-2010 Edelweiss Liquid Fund - Retail Daily Div 10.0000 10.0000 0.00
09-Sep-2010 Edelweiss Liquid Fund - Retail Gr 10.9859 10.9872 0.01
09-Sep-2010 Edelweiss Liquid Fund - Retail Monthly Div 10.0080 10.0092 0.01
10-Aug-2010 Edelweiss Liquid Fund - Retail Weekly Div 10.0062 10.0077 0.01
15-Apr-2010 Edelweiss Liquid Fund - Super Instit. Daily Div 10.0000 10.0000 0.00
18-Sep-2008 Edelweiss Liquid Fund - Super Instit. Monthly Div NA 10.0029 NA
06-Oct-2009 Edelweiss Liquid Fund - Super Instit. Weekly Div 10.0122 NA NA
05-Aug-2010 Edelweiss Liquid Fund - Super Instit. Gr 10.0000 10.0012 0.01
09-Sep-2010 Escorts Liquid Plan - Daily Div 12.8672 12.8688 0.01
09-Sep-2010 Escorts Liquid Plan - Growth 14.1516 14.1544 0.02
09-Sep-2010 Escorts Liquid Plan - M - Div 13.7333 13.7360 0.02
09-Sep-2010 Escorts Liquid Plan - W - Div 12.7439 12.7465 0.02
09-Sep-2010 Fidelity Cash Fund Instit. Daily Div 10.0025 10.0025 0.00
09-Sep-2010 Fidelity Cash Fund Instit. Gr 12.7588 12.7607 0.01
09-Sep-2010 Fidelity Cash Fund Instit. Monthly Div 10.0000 10.0000 0.00
09-Sep-2010 Fidelity Cash Fund Instit. Weekly Div 10.1771 10.1786 0.01
09-Sep-2010 Fidelity Cash Fund Retail Daily Div 10.0025 10.0025 0.00
09-Sep-2010 Fidelity Cash Fund Retail Gr 12.5689 12.5706 0.01
09-Sep-2010 Fidelity Cash Fund Retail Monthly Div 10.0229 10.0243 0.01
09-Sep-2010 Fidelity Cash Fund Retail Weekly Div 10.0040 10.0054 0.01
09-Sep-2010 Fidelity Cash Fund Super Instit. Daily Div 10.2296 10.2296 0.00
09-Sep-2010 Fidelity Cash Fund Super Instit. Gr 12.8200 12.8219 0.01
09-Sep-2010 Fidelity Cash Fund Super Instit. Monthly Div 10.0000 10.0000 0.00
09-Sep-2010 Fidelity Cash Fund Super Instit. Weekly Div 10.0000 10.0000 0.00
09-Jul-2009 Fidelity Multi Manager Cash Fund - Div 10.0050 10.0061 0.01
09-Jul-2009 Fidelity Multi Manager Cash Fund - Gr 12.7857 12.7871 0.01
12-Sep-2010 Fortis Overnight Fund - Instit. Plan - Daily Div 10.0030 10.0030 0.00
12-Sep-2010 Fortis Overnight Fund - Instit. Plan - Gr 14.4410 14.4491 0.06
12-Sep-2010 Fortis Overnight Fund - Instit. Plan - M Div 10.0140 10.0196 0.06
12-Sep-2010 Fortis Overnight Fund - Instit. Plan - W Div 10.0000 10.0056 0.06
17-Jun-2010 Fortis Overnight Fund - Instit. Plus - Daily Div 10.0030 10.0030 0.00
17-Jun-2010 Fortis Overnight Fund - Instit. Plus - Gr 10.1868 10.1883 0.01
17-Jun-2010 Fortis Overnight Fund - Instit. Plus - M - Div 10.0225 10.0239 0.01
17-Jun-2010 Fortis Overnight Fund - Instit. Plus - W Div 10.0092 10.0000 -0.09
12-Sep-2010 Fortis Overnight Fund - Regular Plan Gr 14.1049 14.1123 0.05
12-Sep-2010 Fortis Overnight Fund - Regular Plan M Div 10.0130 10.0183 0.05
12-Sep-2010 Fortis Overnight Fund - Regular Plan W Div 10.0000 10.0053 0.05
09-Sep-2010 HDFC CMF - Call Plan - Daily - Div. Re 10.4266 10.4266 0.00
09-Sep-2010 HDFC CMF - Call Plan - Gr 15.5701 15.5720 0.01
31-Dec-2004 HDFC CMF - Investment Plan - Div 11.6397 11.6413 0.01
09-Sep-2010 HDFC CMF - Savings Plan - Div Daily 10.6364 10.6364 0.00
09-Sep-2010 HDFC CMF - Savings Plan - Div W 10.6328 10.6344 0.02
09-Sep-2010 HDFC CMF - Savings Plan - Gr 19.6803 19.6832 0.01
09-Sep-2010 HDFC Liquid Fund - Div. Daily Rein. 10.1982 10.1982 0.00
09-Sep-2010 HDFC Liquid Fund - Div. Monthly 10.2757 10.2772 0.01
09-Sep-2010 HDFC Liquid Fund - Gr 18.6283 18.6311 0.02
09-Sep-2010 HDFC Liquid Fund - Weekly Div 10.3131 10.3146 0.01
09-Sep-2010 HDFC Liquid Fund Premium Plan - Div 10.0000 10.0000 0.00
09-Sep-2010 HDFC Liquid Fund Premium Plan - Div. Daily Rei. 12.2598 12.2598 0.00
09-Sep-2010 HDFC Liquid Fund Premium Plan - Gr 18.8704 18.8734 0.02
09-Sep-2010 HDFC Liquid Fund Premium Plus Plan - Div 10.0000 10.0000 0.00
13-Oct-2005 HDFC Liquid Fund Premium Plus Plan - Div. Daily Rein. 12.2202 12.2202 0.00
09-Sep-2010 HDFC Liquid Fund Premium Plus Plan - Gr 18.9087 18.9117 0.02
09-Sep-2010 HSBC Cash Fund - Daily Div 10.1930 10.1930 0.00
09-Sep-2010 HSBC Cash Fund - Gr 15.1576 15.1596 0.01
09-Sep-2010 HSBC Cash Fund - Instit. - Daily Div 10.4401 10.4401 0.00
09-Sep-2010 HSBC Cash Fund - Instit. - Gr 15.3139 15.3159 0.01
09-Sep-2010 HSBC Cash Fund - Instit. - M. Div 10.5380 10.5394 0.01
09-Sep-2010 HSBC Cash Fund - Instit. - W. Div 10.4704 10.4718 0.01
09-Sep-2010 HSBC Cash Fund - Instit. Plus - Daily Div 10.0056 10.0056 0.00
09-Sep-2010 HSBC Cash Fund - Instit. Plus - Gr 14.4511 14.4532 0.01
09-Sep-2010 HSBC Cash Fund - Instit. Plus - M - Div 10.0935 10.0950 0.01
09-Sep-2010 HSBC Cash Fund - Instit. Plus - W - Div 10.2416 10.2431 0.01
09-Sep-2010 HSBC Cash Fund - W. Div 10.0232 10.0245 0.01
09-Sep-2010 ICICI Prudential Institutional Liquid Plan - Super Instit. Daily Div 100.0226 100.0226 0.00
09-Sep-2010 ICICI Prudential Institutional Liquid Plan - Super Instit. Daily Div (Old) 100.0226 100.0226 0.00
09-Sep-2010 ICICI Prudential Institutional Liquid Plan - Super Instit. Gr 139.1800 139.2019 0.02
09-Sep-2010 ICICI Prudential Institutional Liquid Plan - Super Instit. Gr (Old) 139.1800 139.2019 0.02
09-Sep-2010 ICICI Prudential Institutional Liquid Plan - Super Instit. M - Div 100.1546 100.1703 0.02
09-Sep-2010 ICICI Prudential Institutional Liquid Plan - Super Instit. W - Div 100.1679 100.1837 0.02
09-Sep-2010 ICICI Prudential Institutional Liquid Plan - Super Instit. W - Div (Old) 100.1679 100.1837 0.02
09-Sep-2010 ICICI Prudential Liquid Fund - FII (Old) 135.9452 135.9661 0.02
09-Sep-2010 ICICI Prudential Liquid Fund - Institutional Option - I 135.9452 135.9661 0.02
09-Sep-2010 ICICI Prudential Liquid Plan - Daily Div Option 118.5140 118.5140 0.00
09-Sep-2010 ICICI Prudential Liquid Plan - Div Monthly 100.1528 100.1662 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Div Monthly (Old) 100.1528 100.1662 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Div Quarterly 101.0641 101.0776 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Div W 118.8331 118.8490 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Half Yearly Div 102.0936 102.1073 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Half Yearly Div (Old) 102.0936 102.1073 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Instit. Plus Plan - Daily Div 118.5150 118.5150 0.00
09-Sep-2010 ICICI Prudential Liquid Plan - Instit. Plus Plan - Div M 100.1442 100.1587 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Instit. Plus Plan - Div W 118.5932 118.6104 0.01
09-Sep-2010 ICICI Prudential Liquid Plan - Instit. Plus Plan - Gr 232.8732 232.9069 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Daily Div Option (Old) 118.5140 118.5140 0.00
09-Sep-2010 ICICI Prudential Liquid Plan-Div Quarterly (Old) 101.0641 101.0776 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Div W (Old) 118.8331 118.8490 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Gr 226.9906 227.0210 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Gr (Old) 226.9906 227.0210 0.01
05-Oct-2009 ICICI Prudential Liquid Plan-Instit. Option-Annual Div 10.0522 10.0530 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan - Daily Div 118.5020 118.5020 0.00
22-Nov-2009 ICICI Prudential Liquid Plan-Instit. Plan - Div Quarterly 100.5267 100.5443 0.02
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan - Div W 118.4628 118.4798 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan - Gr 231.4085 231.4417 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan-Daily Div (Old) 118.5020 118.5020 0.00
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan-Div Monthly 100.1192 100.1336 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan-Div Monthly (Old) 100.1192 100.1336 0.01
02-Dec-2009 ICICI Prudential Liquid Plan-Instit. Plan-Div Quarterly (Old) 10.0342 10.0342 0.00
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan-Div W (Old) 118.4628 118.4798 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plan-Gr (Old) 231.4085 231.4417 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plus Plan-Daily Div (Old) 118.5150 118.5150 0.00
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plus Plan-Div M (Old) 100.1442 100.1587 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plus Plan-Div W (Old) 118.5932 118.6104 0.01
09-Sep-2010 ICICI Prudential Liquid Plan-Instit. Plus Plan-Gr (Old) 232.8732 232.9069 0.01
07-Sep-2010 ICICI Prudential Premier Plan 14.9900 14.9900 0.00
09-Sep-2010 ICICI Prudential Sweep Cash Option - Cum 131.4983 131.5133 0.01
09-Sep-2010 ICICI Prudential Sweep Cash Option - Cum (Old) 131.4983 131.5133 0.01
09-Sep-2010 ICICI Prudential Sweep Cash Option - Daily Div 100.0104 100.0104 0.00
09-Sep-2010 ICICI Prudential Sweep Cash Option - Daily Div (Old) 100.0104 100.0104 0.00
09-Sep-2010 ICICI Prudential Sweep Cash Option - Fortnightly Div 100.2974 100.3088 0.01
09-Sep-2010 ICICI Prudential Sweep Cash Option - Fortnightly Div (Old) 100.2974 100.3088 0.01
09-Sep-2010 ICICI Prudential Sweep Cash Option - Monthly Div 100.3186 100.3300 0.01
09-Sep-2010 ICICI Prudential Sweep Cash Option - Monthly Div (Old) 100.3186 100.3300 0.01
09-Sep-2010 ICICI Prudential Sweep Cash Option - Weekly Div 100.0647 100.0761 0.01
09-Sep-2010 ICICI Prudential Sweep Cash Option - Weekly Div (Old) 100.0647 100.0761 0.01
09-Sep-2010 ICICI Prudential Sweep Plan 152.7137 152.7277 0.01
12-Sep-2010 IDBI Liquid Fund - Daily Div 10.0000 10.0000 0.00
12-Sep-2010 IDBI Liquid Fund - Gr 10.0991 10.1036 0.04
12-Sep-2010 IDBI Liquid Fund - Monthly Div 10.0222 10.0267 0.04
12-Sep-2010 IDBI Liquid Fund - Weekly Div 10.0058 10.0000 -0.06
12-Sep-2010 IDFC Cash Fund - Daily Div 10.5819 10.5819 0.00
12-Sep-2010 IDFC Cash Fund - Div Weekly 10.0101 10.0144 0.04
12-Sep-2010 IDFC Cash Fund - Gr 16.7596 16.7666 0.04
12-Aug-2004 IDFC Cash Fund - MF Plan D - Daily Div 10.0000 10.0000 0.00
13-Aug-2004 IDFC Cash Fund - MF Plan D - Gr 10.0000 10.0000 0.00
13-Aug-2004 IDFC Cash Fund - MF Plan D - Weekly Div 10.0000 10.0000 0.00
12-Sep-2010 IDFC Cash Fund - Super Inst Plan C - Daily Div 10.0025 10.0025 0.00
12-Sep-2010 IDFC Cash Fund - Super Inst Plan C - Gr 11.4498 11.4550 0.05
31-Dec-2009 IDFC Cash Fund - Super Inst Plan C - Monthly Div 10.0334 10.0000 -0.33
12-Sep-2010 IDFC Cash Fund - Super Inst Plan C - Weekly Div 10.0000 10.0047 0.05
10-Dec-2006 IDFC Cash Fund Institutional- B - Periodic Div 10.0000 10.0000 0.00
12-Sep-2010 IDFC Cash Fund Institutional- B -Daily Div 10.5873 10.5873 0.00
07-Sep-2010 IDFC Cash Fund Institutional- B -Div W 10.0000 10.0014 0.01
12-Sep-2010 IDFC Cash Fund Institutional- B -Gr 16.8903 16.8975 0.04
25-Feb-2009 ING High Yield Liquidity Fund - Instit. Bonus 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Instit. Daily Div 10.0000 10.0000 0.00
10-Jun-2010 ING High Yield Liquidity Fund - Instit. Gr 12.1788 12.2082 0.24
10-Jun-2010 ING High Yield Liquidity Fund - Instit. M Div 12.1788 12.2080 0.24
25-Feb-2009 ING High Yield Liquidity Fund - Instit. Q Div 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Instit. W Div 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Retail Bonus 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Retail Daily Div 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Retail Gr 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Retail M Div 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Retail Q Div 10.0000 10.0000 0.00
25-Feb-2009 ING High Yield Liquidity Fund - Retail W Div 10.0000 10.0000 0.00
18-Mar-2009 ING Liquid Fund - Auto Sweep - Div Weekly 10.0000 10.0000 0.00
18-Mar-2009 ING Liquid Fund - Auto Sweep - Gr 10.0000 10.0000 0.00
09-Sep-2010 ING Liquid Fund - Div Daily 10.7873 10.7873 0.00
09-Sep-2010 ING Liquid Fund - Gr 19.6779 19.6809 0.02
09-Sep-2010 ING Liquid Fund - Weekly Div 10.8273 10.8289 0.01
09-Sep-2010 ING Liquid Fund Institutional - Daily Div 10.0121 10.0121 0.00
09-Sep-2010 ING Liquid Fund Institutional - Gr 14.7561 14.7584 0.02
09-Sep-2010 ING Liquid Fund Institutional - Weekly Div 10.0567 10.0582 0.01
09-Sep-2010 ING Liquid Fund Super Institutional - Daily Div 10.0048 10.0048 0.00
09-Sep-2010 ING Liquid Fund Super Institutional - Gr 14.0410 14.0433 0.02
09-Sep-2010 ING Liquid Fund Super Institutional - Weekly Div 10.0000 10.0000 0.00
20-Mar-2003 ING Savings Portfolio Div 10.3445 10.3445 0.00
20-Mar-2003 ING Savings Portfolio Gr 10.3445 10.3445 0.00
04-Jan-2010 JM High Liquidity Fund - Premium Paln - Div Daily 10.0000 10.0000 0.00
09-Sep-2010 JM High Liquidity Fund Bonus Option - Bonus 13.4750 13.4772 0.02
09-Sep-2010 JM High Liquidity Fund Bonus Option - Principal 13.4750 13.4772 0.02
09-Sep-2010 JM High Liquidity Fund Div 10.7389 10.7406 0.02
09-Sep-2010 JM High Liquidity Fund Div Daily 10.4302 10.4302 0.00
09-Sep-2010 JM High Liquidity Fund Dividend Plan - Quarterly Div 14.5231 14.5254 0.02
09-Sep-2010 JM High Liquidity Fund Gr 25.6599 25.6640 0.02
09-Sep-2010 JM High Liquidity Fund-Instit Plan - Daily Div 10.0159 10.0159 0.00
09-Sep-2010 JM High Liquidity Fund-Instit Plan - Div 10.4944 10.4961 0.02
09-Sep-2010 JM High Liquidity Fund-Instit Plan - Gr 15.4824 15.4849 0.02
09-Sep-2010 JM High Liquidity Fund-Super Instit. Plan Div Daily 10.0165 10.0165 0.00
09-Sep-2010 JM High Liquidity Fund-Super Instit. Plan Div Weekly 10.0000 10.0000 0.00
09-Sep-2010 JM High Liquidity Fund-Super Instit. Plan Gr 14.7207 14.7230 0.02
12-Sep-2010 JP Morgan India Liquid Fund - Daily Div 10.0150 10.0150 0.00
12-Sep-2010 JP Morgan India Liquid Fund - Gr 11.2042 11.2095 0.05
12-Sep-2010 JP Morgan India Liquid Fund - Monthly div 10.0377 10.0424 0.05
12-Sep-2010 JP Morgan India Liquid Fund - Super Instit. Daily Div 10.0079 10.0079 0.00
08-Apr-2009 JP Morgan India Liquid Fund - Super Instit. Fortnightly Div 10.0000 10.0000 0.00
12-Sep-2010 JP Morgan India Liquid Fund - Super Instit. Gr 12.1930 12.1989 0.05
12-Sep-2010 JP Morgan India Liquid Fund - Super Instit. Weekly Div 10.0081 10.0130 0.05
12-Sep-2010 JP Morgan India Liquid Fund - W. Div 10.0180 10.0228 0.05
09-Sep-2010 Kotak Liquid Div 10.0248 10.0261 0.01
09-Sep-2010 Kotak Liquid Gr 18.1786 18.1809 0.01
09-Sep-2010 Kotak Liquid Instit. Plan - Gr 18.5671 18.5694 0.01
09-Sep-2010 Kotak Liquid Instit. Plan - Div 10.0252 10.0265 0.01
09-Sep-2010 Kotak Liquid Instit. Plan -Div Daily 12.2281 12.2281 0.00
09-Sep-2010 Kotak Liquid Instit. Premium Plan - Daily Div 12.2281 12.2281 0.00
09-Sep-2010 Kotak Liquid Instit. Premium Plan - Div 10.0652 10.0667 0.01
09-Sep-2010 Kotak Liquid Instit. Premium Plan - Gr 19.0924 19.0952 0.01
16-May-2007 Kotak Liquid Sweep Plan Daily Div 10.0071 10.0071 0.00
02-Apr-2008 L&T Liq Sup Inst. Plan -Wkly Div 10.0132 10.0000 -0.13
14-Oct-2004 L&T Liquid Div Series Plan Apr-06 12.8831 12.8822 -0.01
12-Sep-2010 L&T Liquid Fund - Reg. Gr 18.7112 18.7220 0.06
12-Sep-2010 L&T Liquid Fund - Reg. Weekly Div 11.9877 11.9947 0.06
12-Sep-2010 L&T Liquid Fund-Cum -Super Institutional 12.9068 12.9147 0.06
11-Apr-2007 L&T Liquid Instit. Cum 10.0068 15.2782 52.68
12-Sep-2010 L&T Liquid Instit. Daily Div Rein. 10.1163 10.1163 0.00
28-Dec-2004 L&T Liquid Instit. Div Payout 11.8209 11.8225 0.01
12-Sep-2010 L&T Liquid Instit. Plus - Cum. 18.9448 18.9561 0.06
12-Sep-2010 L&T Liquid Instit. Plus - W. Div 12.7081 12.7157 0.06
30-Mar-2008 L&T Treasury Management Fund - Cum. 11.9336 11.9350 0.01
30-Mar-2008 L&T Treasury Management Fund - Daily Div 11.8123 11.8138 0.01
30-Jul-2007 L&T Treasury Management Fund - W Div 11.2158 11.2178 0.02
09-Sep-2010 LIC MF Liquid Fund Div 10.9801 10.9801 0.00
09-Sep-2010 LIC MF Liquid Fund Gr 17.2333 17.2360 0.02
30-Mar-2009 Mirae Asset Cash Management Fund - Regular Plan - Bonus 1,007.6500 1,007.7414 0.00
12-Sep-2010 Mirae Asset Cash Management Fund - Regular Plan - Daily Div 1,029.5159 1,029.5426 0.00
12-Sep-2010 Mirae Asset Cash Management Fund - Regular Plan - Gr 1,048.5232 1,048.9123 0.00
12-Sep-2010 Mirae Asset Cash Management Fund - Regular Plan - Monthly Div 1,048.5898 1,048.9788 0.00
12-Sep-2010 Mirae Asset Cash Management Fund - Regular Plan - Weekly Div 1,047.3906 1,047.7794 0.00
12-Sep-2010 Mirae Asset India Liquid Fund - Bonus 1,018.8637 1,019.1690 0.00
12-Sep-2010 Mirae Asset India Liquid Fund - Daily Div 961.5776 961.8657 0.03
12-Sep-2010 Mirae Asset India Liquid Fund - Gr 1,009.9930 1,010.2954 0.00
03-Feb-2009 Mirae Asset India Liquid Fund - Instit. Daily Div 923.6620 923.6861 0.00
13-Oct-2008 Mirae Asset India Liquid Fund - Instit. Gr 1,054.1830 1,040.0047 0.00
28-Jul-2008 Mirae Asset India Liquid Fund - Instit. W Div 1,000.9010 1,001.1378 0.00
12-Sep-2010 Mirae Asset India Liquid Fund - M Div 965.1132 965.4024 0.03
10-Nov-2008 Mirae Asset India Liquid Fund - Super Instit. Daily Div 919.2102 919.3133 0.01
16-Oct-2008 Mirae Asset India Liquid Fund - Super Instit. Gr 966.3619 965.9260 -0.05
31-Aug-2008 Mirae Asset India Liquid Fund - Super Instit. W Div 1,000.4300 1,000.9170 0.00
12-Sep-2010 Mirae Asset India Liquid Fund - W Div 962.9568 963.2448 0.03
12-Sep-2010 Peerless Liquid Fund - Institutional - Daily Dividend 10.0001 10.0001 0.00
12-Sep-2010 Peerless Liquid Fund - Institutional - Growth 10.2316 10.2364 0.05
NA Peerless Liquid Fund - Institutional - Monthly Dividend NA 0.0000 NA
05-May-2010 Peerless Liquid Fund - Institutional - Weekly Dividend 10.0008 10.0020 0.01
12-Sep-2010 Peerless Liquid Fund - Retail - Daily Dividend 10.0003 10.0003 0.00
12-Sep-2010 Peerless Liquid Fund - Retail - Growth 10.2631 10.2676 0.04
15-Aug-2010 Peerless Liquid Fund - Retail - Monthly Dividend 10.0077 10.0108 0.03
14-Apr-2010 Peerless Liquid Fund - Retail - Weekly Dividend 10.0008 10.0016 0.01
12-Sep-2010 Peerless Liquid Fund - Super Institutional - Daily Dividend 10.0002 10.0002 0.00
12-Sep-2010 Peerless Liquid Fund - Super Institutional - Growth 10.2449 10.2498 0.05
NA Peerless Liquid Fund - Super Institutional - Monthly Dividend NA 0.0000 NA
12-Sep-2010 Peerless Liquid Fund - Super Institutional - Weekly Dividend 10.0048 10.0096 0.05
09-Sep-2010 Pramerica Liquid Fund - Daily Div 10.0000 10.0000 0.00
09-Sep-2010 Pramerica Liquid Fund - Fortnightly Div 10.0213 10.0229 0.02
09-Sep-2010 Pramerica Liquid Fund - Gr 10.0213 10.0229 0.02
09-Sep-2010 Pramerica Liquid Fund - Monthly Div 10.0213 10.0229 0.02
09-Sep-2010 Pramerica Liquid Fund - Weekly Div 10.0016 10.0032 0.02
09-Sep-2010 Principal CMF Liquid Daily Div 10.0022 10.0022 0.00
09-Sep-2010 Principal CMF Liquid Div 10.1281 10.1201 -0.08
09-Sep-2010 Principal CMF Liquid Div M 10.0232 10.0245 0.01
09-Sep-2010 Principal CMF Liquid Gr 18.1339 18.1363 0.01
09-Sep-2010 Principal CMF Liquid Instit. Plan - Daily Div 10.0022 10.0022 0.00
09-Sep-2010 Principal CMF Liquid Instit. Plan - Div M 10.0244 10.0258 0.01
09-Sep-2010 Principal CMF Liquid Instit. Plan - Div W 10.0101 10.0018 -0.08
09-Sep-2010 Principal CMF Liquid Instit. Plan - Gr 15.3536 15.3558 0.01
09-Sep-2010 Principal CMF Liquid Option Instit. Premium - Daily Div 10.0007 10.0007 0.00
09-Sep-2010 Principal CMF Liquid Option Instit. Premium - Gr 14.6432 14.6453 0.01
08-Sep-2010 Principal CMF Liquid Option Instit. Premium - Monthly Div 10.0552 10.0552 0.00
09-Sep-2010 Principal CMF Liquid Option Instit. Premium - Weekly Div 10.0687 10.0600 -0.09
22-Apr-2005 Principal CMF M at Call Div Daily 10.0000 10.0000 0.00
03-Apr-2005 Principal CMF M at Call Gr 12.7817 12.7817 0.00
28-Mar-2005 Principal CMF M at Call Instit. Div Daily 10.0021 10.0021 0.00
21-Mar-2004 Principal CMF M at Call Instit. Gr 10.0011 10.0021 0.01
21-Mar-2004 Principal CMF M Call Instit. Gr 10.0011 10.0021 0.01
28-Jan-2002 Principal Money MKT Fund 11.0442 11.0442 0.00
12-Sep-2010 Quantum Liquid Fund - Daily Div. Re-inve. 10.0000 10.0000 0.00
12-Sep-2010 Quantum Liquid Fund - Gr 13.4081 13.4144 0.05
12-Sep-2010 Quantum Liquid Fund - M. Div 10.0246 10.0293 0.05
09-Sep-2010 Reliance Liquid Fund - Treasury Plan - Daily Div 15.2428 15.2428 0.00
09-Sep-2010 Reliance Liquid Fund - Treasury Plan - Gr 22.5314 22.5345 0.01
11-Apr-2007 Reliance Liquid Fund - Treasury Plan - Gr - Bonus 16.6730 18.1160 8.65
09-Sep-2010 Reliance Liquid Fund - Treasury Plan - M. Div 13.3322 13.3340 0.01
09-Sep-2010 Reliance Liquid Fund - Treasury Plan - Q. Div 12.2710 12.2727 0.01
09-Sep-2010 Reliance Liquid Fund - Treasury Plan - W Div 10.3487 10.3501 0.01
09-Sep-2010 Reliance Liquid Fund - Treasury Plan Instit. - Gr 22.9405 22.9439 0.01
21-Sep-2004 Reliance Liquid Fund - Treasury Plan Instit. - Gr - Bonus 15.7478 15.7498 0.01
09-Sep-2010 Reliance Liquid Fund - Treasury Plan Instit. - M Div 21.7839 21.7870 0.01
09-Sep-2010 Reliance Liquid Fund - Treasury Plan Instit. - W. Div 15.3139 15.3162 0.02
09-Sep-2010 Reliance Liquid Fund - Treasury Plan Instit. - Daily Div 15.2874 15.2874 0.00
26-Aug-2008 Reliance Liquid Fund Cash Plan - Bonus 14.1610 14.1641 0.02
09-Sep-2010 Reliance Liquid Fund Cash Plan - Daily Div 11.1415 11.1415 0.00
09-Sep-2010 Reliance Liquid Fund Cash Plan - Gr 15.2777 15.2798 0.01
09-Sep-2010 Reliance Liquid Fund Cash Plan - W. Div 10.9232 10.9247 0.01
31-Dec-2004 Reliance Liquid Fund Super Cash Plan G 11.1992 11.2006 0.01
06-Apr-2010 Reliance Liquidity Fund - Bonus 10.0000 10.0000 0.00
09-Sep-2010 Reliance Liquidity Fund - Daliy Div 10.0051 10.0051 0.00
09-Sep-2010 Reliance Liquidity Fund - Gr 14.1759 14.1780 0.01
06-Apr-2010 Reliance Liquidity Fund - Monthly Div 10.0000 10.0000 0.00
06-Apr-2010 Reliance Liquidity Fund - Quarterly Div 10.0000 10.0000 0.00
09-Sep-2010 Reliance Liquidity Fund - Weekly Div 10.0107 10.0121 0.01
NA Reliance Salary Advantage Fund - Div NA 0.0000 NA
NA Reliance Salary Advantage Fund - Gr NA 0.0000 NA
12-Sep-2010 Religare Liquid Fund - Instit. - Daily Div 10.0022 10.0022 0.00
12-Sep-2010 Religare Liquid Fund - Instit. - Gr 12.8655 12.8712 0.04
12-Sep-2010 Religare Liquid Fund - Instit. - W Div 10.0095 10.0035 -0.06
12-Sep-2010 Religare Liquid Fund - Instit. Plus - Daily Div 10.0078 10.0078 0.00
12-Sep-2010 Religare Liquid Fund - Instit. Plus - Gr 12.9260 12.9317 0.04
12-Sep-2010 Religare Liquid Fund - Instit. Plus - W Div 10.0075 10.0016 -0.06
12-Sep-2010 Religare Liquid Fund - Retail - Gr 12.7412 12.7468 0.04
12-Sep-2010 Religare Liquid Fund - Retail W Div 10.0095 10.0035 -0.06
NA Religare Liquid Fund - Super Instit. - Daily Div NA 0.0000 NA
12-Sep-2010 Religare Liquid Fund - Super Instit. - Gr 12.9260 12.9317 0.04
22-Sep-2008 Religare Liquid Fund - Super Instit. - M Div 10.0329 10.0357 0.03
12-Sep-2010 Religare Liquid Fund - Super Instit. - W Div 10.0075 10.0016 -0.06
28-Oct-2005 Sahara Liquid Fund Div 10.2386 10.2386 0.00
12-Sep-2010 Sahara Liquid Fund Fixed Price - Gr 1,705.7172 1,705.9753 0.00
12-Sep-2010 Sahara Liquid Fund Fixed Price - Daily Div 1,024.9045 1,024.9045 0.00
12-Sep-2010 Sahara Liquid Fund Fixed Price - Monthly Div 1,026.8459 1,027.0013 0.00
12-Sep-2010 Sahara Liquid Fund Fixed Price - Weekly Div 1,026.5933 1,026.7486 0.00
28-Oct-2005 Sahara Liquid Fund Gr 12.2810 12.2827 0.01
12-Sep-2010 Sahara Liquid Fund Variable - Daily Div 1,024.9262 1,024.9262 0.00
12-Sep-2010 Sahara Liquid Fund Variable - Gr 1,719.1173 1,719.3774 0.00
12-Sep-2010 Sahara Liquid Fund Variable - Monthly Div 1,027.1668 1,027.3223 0.00
12-Sep-2010 Sahara Liquid Fund Variable - Weekly Div 1,025.0819 1,025.2370 0.00
12-Sep-2010 SBI Magnum Insta Cash -Cash Plan 20.9143 20.9204 0.03
12-Sep-2010 SBI Magnum Insta Cash -Daily Div 16.7503 16.7503 0.00
12-Sep-2010 SBI Magnum Insta Cash -Div 10.7852 10.7773 -0.07
12-Sep-2010 SBI Magnum Insta Cash Fund Liquid Floater Plan - Div 10.3219 10.3136 -0.08
12-Sep-2010 SBI Magnum Insta Cash Fund Liquid Floater Plan - Gr 16.2326 16.2380 0.03
12-Sep-2010 SBI Premier Liquid Fund - Instit. - Daily Div 10.0325 10.0325 0.00
12-Sep-2010 SBI Premier Liquid Fund - Instit. - Fortnightly Div 10.1749 10.1779 0.03
12-Sep-2010 SBI Premier Liquid Fund - Instit. - Gr 14.9634 14.9678 0.03
12-Sep-2010 SBI Premier Liquid Fund - Instit. - W Div 10.6126 10.6051 -0.07
12-Sep-2010 SBI Premier Liquid Fund - Super Instit. - Daily Div 10.0325 10.0325 0.00
12-Sep-2010 SBI Premier Liquid Fund - Super Instit. - Gr 14.8027 14.8070 0.03
05-Oct-2008 SBI Premier Liquid Fund - Super Instit. - W Div 10.5933 10.5954 0.02
09-Sep-2010 Shinsei Liquid Fund - Instit. Plan - Daily Div 1,000.5197 1,000.5197 0.00
09-Sep-2010 Shinsei Liquid Fund - Instit. Plan - Gr 1,054.6844 1,054.8461 0.00
18-Jun-2010 Shinsei Liquid Fund - Instit. Plan - Weekly Div 1,001.2517 1,000.0000 0.00
09-Sep-2010 Shinsei Liquid Fund - Retail - Daily Div 1,000.5200 1,000.5200 0.00
09-Sep-2010 Shinsei Liquid Fund - Retail - Gr 1,053.4427 1,053.6040 0.00
09-Sep-2010 Shinsei Liquid Fund - Retail - Weekly Div 1,000.8141 1,000.9674 0.00
14-May-2004 SUN F&C Money Value Fund - Liquid - Daily Div 10.0000 10.0000 0.00
14-May-2004 SUN F&C Money Value Fund - Liquid - Div 11.4637 11.4652 0.01
14-May-2004 SUN F&C Money Value Fund - Liquid - Gr 14.8873 14.8892 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund - Div Rei Daily 10.0953 10.0953 0.00
09-Sep-2010 Sundaram BNP Paribas Money Fund - Div Rei Fortnightly 10.4396 10.4409 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund - Div Rei Monthly 10.2954 10.2967 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund - Div Rei Weekly 10.6853 10.6800 -0.05
09-Sep-2010 Sundaram BNP Paribas Money Fund Div Rei - Q 10.7820 10.7833 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund Gr 19.2591 19.2615 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund Institutional - App 19.5462 19.5489 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund Institutional - Daily Div Rei. 10.0953 10.0953 0.00
31-Dec-2009 Sundaram BNP Paribas Money Fund Institutional - Fortnightly Div -97.6870 -100.4146 2.79
09-Sep-2010 Sundaram BNP Paribas Money Fund Institutional - Monthly Div 10.3439 10.3453 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund Institutional - Qtly Div Rei 10.7858 10.7873 0.01
09-Sep-2010 Sundaram BNP Paribas Money Fund Institutional - Weekly Dividend Rei. 10.7971 10.7911 -0.06
09-Sep-2010 Sundaram BNP Paribas Money Fund Super Instit. Daily Div. Rein 10.0953 10.0953 0.00
09-Sep-2010 Sundaram BNP Paribas Money Fund Super Instit. Gr 19.8210 19.8240 0.02
01-Mar-2007 Sundaram BNP Paribas Money Fund Super Instit. M Div. 10.2255 10.1703 -0.54
15-Nov-2009 Sundaram BNP Paribas Money Fund Super Instit. Quarterly Div 11.0648 11.0661 0.01
20-Apr-2009 Sundaram BNP Paribas Money Fund Super Instit. Weekly Div. Rein 10.6411 10.6426 0.01
09-Sep-2010 Tata Liquid Fund - Daily Div 1,116.8143 1,116.8143 0.00
09-Sep-2010 Tata Liquid Fund - Gr 2,156.9587 2,157.2474 0.00
09-Sep-2010 Tata Liquid Fund Fortnightly - Div 1,146.2141 1,146.3676 0.00
09-Sep-2010 Tata Liquid High Investment Fund - Daily Div 1,114.3379 1,114.3379 0.00
09-Sep-2010 Tata Liquid High Investment Fund - Div M 1,020.6953 1,020.8348 0.00
09-Sep-2010 Tata Liquid High Investment Fund - Div W 1,146.6705 1,146.8271 0.00
09-Sep-2010 Tata Liquid High Investment Fund - Gr 1,560.1281 1,560.3413 0.00
06-Feb-2010 Tata Liquid Super High Institutional Plus Fund - Appreciation 1.0000 1.0000 0.00
06-Feb-2010 Tata Liquid Super High Institutional Plus Fund - Daily Div 1.0000 1.0000 0.00
06-Feb-2010 Tata Liquid Super High Institutional Plus Fund - Monthly Div 1.0000 1.0000 0.00
06-Feb-2010 Tata Liquid Super High Institutional Plus Fund - Weekly Div 1.0000 1.0000 0.00
09-Sep-2010 Tata Liquid Super High Investment Fund - App 1,737.5383 1,737.7947 0.00
09-Sep-2010 Tata Liquid Super High Investment Fund - Daily Div 1,114.5200 1,114.5200 0.00
09-Sep-2010 Tata Liquid Super High Investment Fund - Div W 1,150.6711 1,150.8410 0.00
09-Sep-2010 Tata Liquid Super High Investment Fund - M Div 1,004.7183 1,004.8666 0.00
09-Sep-2010 Tata Liquidity Management Fund - Daily Div 1,002.6089 1,002.6089 0.00
09-Sep-2010 Tata Liquidity Management Fund - Gr 1,281.7648 1,281.9301 0.00
09-Sep-2010 Tata Liquidity Management Fund - Weekly Div 1,005.6206 1,005.7502 0.00
12-Sep-2010 Taurus Liquid Fund - Instit. Gr 1,032.7519 1,033.2457 0.00
12-Sep-2010 Taurus Liquid Fund - Super Instit. - Daily Div 1,000.0114 1,000.0210 0.00
12-Sep-2010 Taurus Liquid Fund - Super Instit. - Gr 1,011.6392 1,012.1270 0.00
12-Sep-2010 Taurus Liquid Fund - Super Instit. - Weekly Div 1,000.9305 1,001.4132 0.00
12-Sep-2010 Taurus Liquid Fund- Instit. Daily Div 1,000.0401 1,000.0401 0.00
12-Sep-2010 Taurus Liquid Fund-Div 1,001.1966 1,001.1971 0.00
12-Sep-2010 Taurus Liquid Fund-Gr 1,236.5186 1,237.1047 0.00
09-Sep-2010 Templeton India Cash Management Account - Div 10.0000 10.0000 0.00
09-Sep-2010 Templeton India Cash Management Account - Gr 16.1379 16.1396 0.01
19-Sep-2004 Templeton India Liquid Fund Div Daily 10.0000 10.0000 0.00
19-Sep-2004 Templeton India Liquid Fund Div Weekly 10.0000 10.0000 0.00
19-Sep-2004 Templeton India Liquid Fund Gr 16.0082 16.0082 0.00
09-Sep-2010 Templeton India Money Market Account-Regular Account Bonus 1.0000 1.0000 0.00
08-Sep-2010 Templeton India Money Market Account-Regular Account Dividend 1.0000 1.0000 0.00
09-Sep-2010 Templeton India Money MKT A/C - Gr 1.0000 1.0000 0.00
16-Oct-2009 Templeton India Money MKT Chq A/C 1.0000 1.0000 0.00
11-Apr-2010 Templeton India Money MKT Chq A/C - Writing Bonus 1.0000 1.0000 0.00
19-Sep-2004 Templeton India Treasury Mngt. - Weekly Bonus 1,403.5260 1,403.5260 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Daily Div 1,512.3400 1,512.3400 0.00
05-Apr-2009 Templeton India Treasury Mngt. - Div Annual 1,228.0240 1,000.6730 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Div Weekly 1,244.8230 1,244.9919 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Gr 2,312.7988 2,313.1126 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Institutional - Daily Div 1,000.6730 1,000.6730 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Institutional - Div W 1,055.1637 1,055.3141 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Institutional - Gr 1,467.8362 1,468.0454 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Liquid Plan - Daily Div 1,000.6730 1,000.6730 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Liquid Plan - Gr 1,410.2733 1,410.4549 0.00
09-Sep-2010 Templeton India Treasury Mngt. - Liquid Plan - W Div 1,000.9557 1,001.0847 0.00
09-Sep-2010 Templeton India Treasury Mngt. Super Instit. Plan - Daily Div 1,000.6730 1,000.6730 0.00
09-Sep-2010 Templeton India Treasury Mngt. Super Instit. Plan - Gr 1,398.2015 1,398.4122 0.00
09-Sep-2010 Templeton India Treasury Mngt. Super Instit. Plan - W. Div 1,021.5802 1,021.7342 0.00
01-Sep-2010 UNCLAIMED DIVIDEND UPTO 3 YEARS 12.3012 12.3117 0.09
01-Sep-2004 UTI Liquid Advantage Fund Call Plan 1,129.1200 1,129.2400 0.00
09-Jul-2005 UTI Liquid Advantage Fund Div Daily 1,006.4860 1,007.8730 0.00
09-Jul-2005 UTI Liquid Advantage Fund Gr 1,250.9730 1,252.7640 0.00
14-Jul-2008 UTI Liquid Advantage Fund Instit. Div Daily 1,005.8090 15.2872 1,428.72
14-Jul-2008 UTI Liquid Advantage Fund Instit. Gr 1,235.5540 20.1818 1,918.18
12-Sep-2010 UTI Liquid Cash Plan Div 1,058.9320 1,058.9846 0.00
12-Sep-2010 UTI Liquid Cash Plan Gr 1,520.4891 1,520.8948 0.00
12-Sep-2010 UTI Liquid Cash Plan Institutional - Daily Div 1,019.4457 1,019.4457 0.00
12-Sep-2010 UTI Liquid Cash Plan Institutional - Gr 1,546.3172 1,546.7747 0.00
12-Sep-2010 UTI Liquid Cash Plan Institutional - M. Div 1,026.5639 1,026.8677 0.00
12-Sep-2010 UTI Liquid Cash Plan Institutional - W. Div 1,028.3880 1,027.6289 0.00
12-Sep-2010 UTI Liquid Cash Plan Monthly Div 1,071.5823 1,071.8683 0.00
12-Sep-2010 UTI Money Market Fund - Instit. Daily Div 1,003.3854 1,003.3854 0.00
12-Sep-2010 UTI Money Market Fund - Instit. Gr 1,054.4105 1,054.7187 0.00
25-May-2010 UTI Money Market Fund - Instit. Weekly Div 1,004.1265 1,004.2442 0.00
12-Sep-2010 UTI Money Market Fund Daily Div 1,852.4021 1,852.5378 0.00
12-Sep-2010 UTI Money Market Fund Div 1,862.9100 1,862.1386 0.00
12-Sep-2010 UTI Money Market Fund Gr 2,623.6160 2,624.3181 0.00
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