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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)
(%)
AXIS Consumption Fund - ... 9.56
(09-Jul-25)
-0.21 1.27 9.26 0.21 NA NA -4.40
(12-Sep-24)
AXIS Consumption Fund - ... 9.56
(09-Jul-25)
-0.21 1.27 9.26 0.21 NA NA -4.40
(12-Sep-24)
AXIS Consumption Fund - ... 9.45
(09-Jul-25)
-0.21 1.18 8.87 -0.53 NA NA -5.50
(12-Sep-24)
AXIS Consumption Fund - ... 9.45
(09-Jul-25)
-0.21 1.18 8.87 -0.53 NA NA -5.50
(12-Sep-24)
Bajaj Finserv Consumptio... 9.72
(09-Jul-25)
1.12 -0.17 9.42 -1.85 NA NA -2.76
(29-Nov-24)
Bajaj Finserv Consumptio... 9.72
(09-Jul-25)
1.12 -0.17 9.42 -1.85 NA NA -2.76
(29-Nov-24)
Bajaj Finserv Consumptio... 9.63
(09-Jul-25)
1.10 -0.30 8.98 -2.65 NA NA -3.74
(29-Nov-24)
Bajaj Finserv Consumptio... 9.63
(09-Jul-25)
1.10 -0.30 8.98 -2.65 NA NA -3.74
(29-Nov-24)
Bank of India Consumptio... 11.00
(09-Jul-25)
0.73 3.00 16.90 10.22 NA NA 10.00
(20-Dec-24)
Bank of India Consumptio... 11.00
(09-Jul-25)
0.73 3.00 16.90 10.22 NA NA 10.00
(20-Dec-24)
* Returns upto 1 year are absolute and over 1 year are CAGR.
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