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Your Result on : Category Returns Details
Category
Fund Family
Scheme Name NAV
(NAV Date)
(Rs)
1Week
(%)
1Month
(%)
3Month
(%)
6Month
(%)
1Year
(%)
3Year
(%)
Since Inception
(Inception Date)
(%)
360 ONE Balanced Hybrid ... 13.11
(10-Jul-25)
0.33 0.26 8.21 5.01 6.19 NA 16.39
(25-Sep-23)
360 ONE Balanced Hybrid ... 13.11
(10-Jul-25)
0.33 0.26 8.21 5.01 6.19 NA 16.39
(25-Sep-23)
360 ONE Balanced Hybrid ... 12.76
(10-Jul-25)
0.30 0.13 7.81 4.26 4.62 NA 14.67
(25-Sep-23)
360 ONE Balanced Hybrid ... 12.76
(10-Jul-25)
0.30 0.13 7.81 4.26 4.62 NA 14.67
(25-Sep-23)
360 ONE Dynamic Bond Fun... 24.01
(10-Jul-25)
0.22 0.16 2.65 5.81 10.88 8.58 7.55
(24-Jun-13)
360 ONE Dynamic Bond Fun... 14.00
(10-Jul-25)
0.22 0.16 2.65 5.81 10.88 8.58 7.53
(24-Jun-13)
360 ONE Dynamic Bond Fun... 22.15
(10-Jul-25)
0.22 0.15 2.65 5.80 10.85 8.57 7.14
(24-Jun-13)
360 ONE Dynamic Bond Fun... 22.76
(10-Jul-25)
0.22 0.14 2.59 5.67 10.60 8.31 7.07
(24-Jun-13)
360 ONE Dynamic Bond Fun... 22.76
(10-Jul-25)
0.22 0.13 2.59 5.67 10.60 8.31 7.07
(24-Jun-13)
360 ONE Dynamic Bond Fun... 21.96
(10-Jul-25)
0.22 0.14 2.59 5.67 10.60 8.31 7.07
(24-Jun-13)
* Returns upto 1 year are absolute and over 1 year are CAGR.
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