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Regular-article-logo Tuesday, 17 June 2025

MUTUAL FUND 26-05-2004

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The Telegraph Online Published 26.05.04, 12:00 AM
Net asset value (NAV) as on May 25, 2004. Schemes marked with * indicate NAV from previous day. Change indicates gain/loss (in Rs) in NAV over previous trading day. Lifetime represents return (in per cent) since inception. 3-month and 1-year returns are absolute, 3-year and lifetime returns are annualised. Size indicates asset under management in Rs crore. Source: Value Research (www.valueresearchonline.com)'%>
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