BSE
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 ... 13.75
(03-Jul-26)
0.63 3.94 9.63 3.23 5.19 NA 12.18
(25-Sep-23)
360 ONE Balanced Hybrid ... 13.75
(03-Jul-26)
0.63 3.94 9.63 3.23 5.19 NA 12.18
(25-Sep-23)
360 ONE Balanced Hybrid ... 13.19
(03-Jul-26)
0.60 3.81 9.20 2.45 3.61 NA 10.52
(25-Sep-23)
360 ONE Balanced Hybrid ... 13.19
(03-Jul-26)
0.60 3.81 9.20 2.45 3.61 NA 10.52
(25-Sep-23)
360 ONE Dynamic Bond Fun... 25.52
(03-Jul-26)
0.61 2.48 3.92 3.55 6.36 8.47 7.45
(24-Jun-13)
360 ONE Dynamic Bond Fun... 14.26
(03-Jul-26)
0.61 2.48 3.92 3.55 6.36 8.47 7.44
(24-Jun-13)
360 ONE Dynamic Bond Fun... 23.54
(03-Jul-26)
0.61 2.48 3.92 3.55 6.35 8.46 7.08
(24-Jun-13)
360 ONE Dynamic Bond Fun... 24.13
(03-Jul-26)
0.60 2.46 3.85 3.42 6.10 8.20 6.99
(24-Jun-13)
360 ONE Dynamic Bond Fun... 24.13
(03-Jul-26)
0.60 2.46 3.85 3.42 6.10 8.20 6.99
(24-Jun-13)
360 ONE Dynamic Bond Fun... 23.28
(03-Jul-26)
0.60 2.46 3.85 3.42 6.10 8.20 6.99
(24-Jun-13)
* Returns upto 1 year are absolute and over 1 year are CAGR.
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