04 February, 2012 05:00 IST
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Latest NAV
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No. Scheme Date NAV
(Rs.)
1AIG India Equity Fund - Institutional - Dividend04-OCT-1013.3090
2AIG India Equity Fund - Institutional - Growth16-DEC-08 6.0570
3AIG India Equity Fund - Regular - Dividend31-JAN-1211.8900
4AIG India Equity Fund - Regular - Growth31-JAN-1211.8900
5AIG India Liquid Fund - Institutional - Daily Dividend31-JAN-121001.0000
6AIG India Liquid Fund - Institutional - Growth31-JAN-121350.3851
7AIG India Liquid Fund - Institutional - Weekly Dividend31-JAN-121001.2426
8AIG India Liquid Fund - Retail - Daily Dividend31-JAN-121001.0000
9AIG India Liquid Fund - Retail - Growth31-JAN-121332.5626
10AIG India Liquid Fund - Retail - Monthly Dividend31-JAN-121002.4184
11AIG India Liquid Fund - Retail - Quarterly Dividend31-JAN-121011.2443
12AIG India Liquid Fund - Retail - Weekly Dividend31-JAN-121001.2344
13AIG India Liquid Fund - Super Institutional - Daily Dividend31-JAN-121001.0000
14AIG India Liquid Fund - Super Institutional - Growth31-JAN-121356.2881
15AIG India Liquid Fund - Super Institutional - Weekly Dividend31-JAN-121001.2461
16AIG India Treasury Fund - Institutional - Daily Dividend31-JAN-1210.0110
17AIG India Treasury Fund - Institutional - Growth31-JAN-1213.6766
18AIG India Treasury Fund - Institutional - Monthly Dividend31-JAN-1210.0260
19AIG India Treasury Fund - Institutional - Weekly Dividend31-JAN-1210.0134
20AIG India Treasury Fund - Retail - Bonus24-OCT-0810.9386
21AIG India Treasury Fund - Retail - Daily Dividend31-JAN-1210.0110
22AIG India Treasury Fund - Retail - Growth31-JAN-1213.4861
23AIG India Treasury Fund - Retail - Monthly Dividend31-JAN-1210.0255
24AIG India Treasury Fund - Retail - Quarterly Dividend30-JAN-1210.1093
25AIG India Treasury Fund - Retail - Weekly Dividend31-JAN-1210.0133
26AIG India Treasury Fund - Super Institutional - Daily Dividend31-JAN-1210.0110
27AIG India Treasury Fund - Super Institutional - Growth31-JAN-1213.7366
28AIG India Treasury Fund - Super Institutional - Monthly Dividend31-JAN-1210.0262
29AIG India Treasury Fund - Super Institutional - Weekly Dividend31-JAN-1210.0135
30AIG Infrastructure And Economic Reform Fund - Institutional - Dividend31-JAN-12 8.5480
31AIG Infrastructure And Economic Reform Fund - Institutional - Growth31-JAN-12 8.5480
32AIG Infrastructure And Economic Reform Fund - Regular - Dividend31-JAN-12 8.3230
33AIG Infrastructure And Economic Reform Fund - Regular - Growth31-JAN-12 8.3230
34AIG Quarterly Interval Fund - Series - I - Institutional - Dividend21-FEB-111000.0126
35AIG Quarterly Interval Fund - Series - I - Institutional - Growth21-FEB-111037.6174
36AIG Quarterly Interval Fund - Series - I - Retail - Dividend31-JAN-121015.0603
37AIG Quarterly Interval Fund - Series - I - Retail - Growth31-JAN-121298.7726
38AIG Quarterly Interval Fund - Series - II - Institutional - Dividend31-JAN-121016.0194
39AIG Quarterly Interval Fund - Series - II - Institutional - Growth27-FEB-091051.3813
40AIG Quarterly Interval Fund - Series - II - Retail - Dividend31-JAN-121015.9541
41AIG Quarterly Interval Fund - Series - II - Retail - Growth31-JAN-121229.0578
42AIG Short Term Fund - Institutional - Growth30-JAN-121273.5737
43AIG Short Term Fund - Institutional - Monthly Dividend31-JAN-121002.4195
44AIG Short Term Fund - Institutional - Weekly Dividend31-JAN-121001.2545
45AIG Short Term Fund - Retail - Bonus09-APR-081010.1682
46AIG Short Term Fund - Retail - Growth31-JAN-121313.2627
47AIG Short Term Fund - Retail - Monthly Dividend31-JAN-121002.3701
48AIG Short Term Fund - Retail - Weekly Dividend31-JAN-121001.2462
49AIG World Gold Fund - Dividend30-JAN-1214.1560
50AIG World Gold Fund - Growth30-JAN-1215.6940
51Axis Capital Protection Oriented Fund - Series 1 - Dividend27-JAN-1211.3896
52Axis Capital Protection Oriented Fund - Series 1 - Growth27-JAN-1211.3896
53Axis Capital Protection Oriented Fund - Series 2 - Dividend27-JAN-1211.0556
54Axis Capital Protection Oriented Fund - Series 2 - Growth27-JAN-1211.0555
55Axis Capital Protection Oriented Fund - Series 3 - Dividend30-JAN-1211.1393
56Axis Capital Protection Oriented Fund - Series 3 - Growth30-JAN-1211.1393
57Axis Constant Maturity 10 Year Fund - Growth30-JAN-12 9.9297
58Axis Constant Maturity 10 Year Fund - Half Yearly Dividend30-JAN-12 9.9297
59Axis Constant Maturity 10 Year Fund - Quarterly Dividend30-JAN-12 9.9297
60Axis Dynamic Bond Fund - Growth31-JAN-1210.7007
61Axis Dynamic Bond Fund - Half Yearly Dividend31-JAN-1210.4435
62Axis Dynamic Bond Fund - Quarterly Dividend31-JAN-1210.3405
63Axis Equity Fund - Dividend31-JAN-1210.1100
64Axis Equity Fund - Growth31-JAN-1210.1100
65Axis Fixed Term Plan - Series 12 - Dividend31-JAN-1210.9580
66Axis Fixed Term Plan - Series 12 - Growth31-JAN-1210.9580
67Axis Fixed Term Plan - Series 12 - Quarterly Dividend31-JAN-1210.2109
68Axis Fixed Term Plan - Series 13 - Dividend31-JAN-1210.8508
69Axis Fixed Term Plan - Series 13 - Growth31-JAN-1210.8508
70Axis Fixed Term Plan - Series 13 - Quarterly Dividend31-JAN-1210.1712
71Axis Fixed Term Plan - Series 14 - Dividend31-JAN-1210.5468
72Axis Fixed Term Plan - Series 14 - Growth31-JAN-1210.5468
73Axis Fixed Term Plan - Series 14 - Quarterly Dividend31-JAN-1210.1904
74Axis Fixed Term Plan - Series 15 - Dividend31-JAN-1210.3354
75Axis Fixed Term Plan - Series 15 - Growth31-JAN-1210.3354
76Axis Fixed Term Plan - Series 15 - Quarterly Dividend31-JAN-1210.1842
77Axis Fixed Term Plan - Series 16 - Dividend31-JAN-1210.2897
78Axis Fixed Term Plan - Series 16 - Growth31-JAN-1210.2897
79Axis Fixed Term Plan - Series 16 - Quarterly Dividend31-JAN-1210.1385
80Axis Fixed Term Plan - Series 17 - Dividend31-JAN-1210.0916
81Axis Fixed Term Plan - Series 17 - Growth31-JAN-1210.0916
82Axis Fixed Term Plan - Series 17 - Quarterly Dividend31-JAN-1210.0916
83Axis Gold Exchange Traded Fund31-JAN-122785.4050
84Axis Gold Fund - Dividend31-JAN-1210.6357
85Axis Gold Fund - Growth31-JAN-1210.6347
86Axis Hybrid Fund - Series 1 - Dividend31-JAN-1211.2305
87Axis Hybrid Fund - Series 1 - Growth31-JAN-1211.2306
88Axis Hybrid Fund - Series 2 - Dividend31-JAN-1210.9641
89Axis Hybrid Fund - Series 2 - Growth31-JAN-1210.9657
90Axis Hybrid Fund - Series 3 - Dividend31-JAN-1211.3524
91Axis Hybrid Fund - Series 3 - Growth31-JAN-1211.3524
92Axis Income Saver Fund - Annual Dividend31-JAN-1210.4909
93Axis Income Saver Fund - Growth31-JAN-1210.6484
94Axis Income Saver Fund - Half Yearly Dividend31-JAN-1210.3397
95Axis Income Saver Fund - Quarterly Dividend31-JAN-1210.2501
96Axis Liquid Fund - Institutional - Daily Dividend31-JAN-121000.1031
97Axis Liquid Fund - Institutional - Growth31-JAN-121170.2008
98Axis Liquid Fund - Institutional - Monthly Dividend31-JAN-121001.6160
99Axis Liquid Fund - Institutional - Weekly Dividend31-JAN-121002.3297
100Axis Liquid Fund - Retail - Daily Dividend31-JAN-121000.0746
101Axis Liquid Fund - Retail - Growth31-JAN-121145.9800
102Axis Liquid Fund - Retail - Monthly Dividend31-JAN-121001.5427
103Axis Liquid Fund - Retail - Weekly Dividend31-JAN-121000.3012
104Axis Long Term Equity Fund - Dividend31-JAN-1211.0330
105Axis Long Term Equity Fund - Growth31-JAN-1212.0449
106Axis Midcap Fund - Dividend31-JAN-12 9.7100
107Axis Midcap Fund - Growth31-JAN-12 9.7100
108Axis Short Term Fund - Institutional - Growth31-JAN-1211.4514
109Axis Short Term Fund - Institutional - Monthly Dividend31-JAN-1210.0337
110Axis Short Term Fund - Institutional - Regular Dividend31-JAN-1210.0358
111Axis Short Term Fund - Retail - Growth31-JAN-1211.3671
112Axis Short Term Fund - Retail - Monthly Dividend31-JAN-1210.0487
113Axis Short Term Fund - Retail - Regular Dividend31-JAN-1210.0626
114Axis Treasury Advantage Fund - Institutional - Daily Dividend31-JAN-121000.1123
115Axis Treasury Advantage Fund - Institutional - Growth31-JAN-121173.7707
116Axis Treasury Advantage Fund - Institutional - Monthly Dividend31-JAN-121002.0568
117Axis Treasury Advantage Fund - Institutional - Weekly Dividend31-JAN-121000.7707
118Axis Treasury Advantage Fund - Retail - Daily Dividend31-JAN-121000.1123
119Axis Treasury Advantage Fund - Retail - Growth31-JAN-121145.4682
120Axis Treasury Advantage Fund - Retail - Monthly Dividend31-JAN-121001.5139
121Axis Treasury Advantage Fund - Retail - Weekly Dividend31-JAN-121000.3756
122Axis Triple Advantage Fund - Dividend31-JAN-1210.2453
123Axis Triple Advantage Fund - Growth31-JAN-1211.0519
124BNP Paribas Bond Fund - Institutional - Annual Dividend31-JAN-1210.8170
125BNP Paribas Bond Fund - Institutional - Growth31-JAN-1211.4159
126BNP Paribas Bond Fund - Institutional - Monthly Dividend31-JAN-1210.0840
127BNP Paribas Bond Fund - Institutional - Quarterly Dividend31-JAN-1210.1074
128BNP Paribas Bond Fund - Regular - Annual Dividend31-JAN-1210.7707
129BNP Paribas Bond Fund - Regular - Growth31-JAN-1213.2892
130BNP Paribas Bond Fund - Regular - Monthly Dividend31-JAN-1210.0796
131BNP Paribas Bond Fund - Regular - Quarterly Dividend31-JAN-1210.1013
132BNP Paribas Dividend Yield Fund - Dividend31-JAN-12 9.8940
133BNP Paribas Dividend Yield Fund - Growth31-JAN-1216.8170
134BNP Paribas Equity Fund - Dividend31-JAN-1211.1800
135BNP Paribas Equity Fund - Growth31-JAN-1233.0500
136BNP Paribas FTP - Series 20 - Plan - C - Calendar Dividend On Maturity01-FEB-12 0.0000
137BNP Paribas FTP - Series 20 - Plan - C - Calendar Quarterly Dividend01-FEB-12 0.0000
138BNP Paribas FTP - Series 20 - Plan - C - Calendar Yearly Dividend01-FEB-12 0.0000
139BNP Paribas FTP - Series 20 - Plan - C - Growth01-FEB-12 0.0000
140BNP Paribas FTP - Series 21 - Plan - B - Calendar Dividend On Maturity01-FEB-12 0.0000
141BNP Paribas FTP - Series 21 - Plan - B - Calendar Quarterly Dividend01-FEB-12 0.0000
142BNP Paribas FTP - Series 21 - Plan - B - Calendar Yearly Dividend01-FEB-12 0.0000
143BNP Paribas FTP - Series 21 - Plan - B - Growth01-FEB-12 0.0000
144BNP Paribas FTP - Series 21 - Plan - D - Growth01-FEB-12 0.0000
145BNP Paribas FTP - Series 21 - Plan - E - Calendar Dividend On Maturity01-FEB-12 0.0000
146BNP Paribas FTP - Series 21 - Plan - E - Calendar Quarterly Dividend01-FEB-12 0.0000
147BNP Paribas FTP - Series 21 - Plan - E - Calendar Yearly Dividend01-FEB-12 0.0000
148BNP Paribas FTP - Series 21 - Plan - E - Growth01-FEB-12 0.0000
149BNP Paribas FTP - Series 21 - Plan - F - Calendar Dividend On Maturity01-FEB-12 0.0000
150BNP Paribas FTP - Series 21 - Plan - F - Calendar Quarterly Dividend01-FEB-12 0.0000
151BNP Paribas FTP - Series 21 - Plan - F - Calendar Yearly Dividend01-FEB-12 0.0000
152BNP Paribas FTP - Series 21 - Plan - F - Growth31-JAN-1210.9167
153BNP Paribas FTP - Series 21 - Plan - G - Calendar Dividend On Maturity31-JAN-1210.8476
154BNP Paribas FTP - Series 21 - Plan - G - Calendar Quarterly Dividend31-JAN-1210.1121
155BNP Paribas FTP - Series 21 - Plan - G - Calendar Yearly Dividend31-JAN-1210.8476
156BNP Paribas FTP - Series 21 - Plan - G - Growth31-JAN-1210.8476
157BNP Paribas FTP - Series 21 - Plan - H - Calendar Dividend On Maturity31-JAN-1210.8718
158BNP Paribas FTP - Series 21 - Plan - H - Calendar Quarterly Dividend31-JAN-1210.1273
159BNP Paribas FTP - Series 21 - Plan - H - Calendar Yearly Dividend31-JAN-1210.8718
160BNP Paribas FTP - Series 21 - Plan - H - Growth31-JAN-1210.8718
161BNP Paribas FTP - Series 22 - Plan - A - Calendar Dividend On Maturity31-JAN-1210.7364
162BNP Paribas FTP - Series 22 - Plan - A - Calendar Quarterly Dividend31-JAN-1210.1181
163BNP Paribas FTP - Series 22 - Plan - A - Calendar Yearly Dividend31-JAN-1210.7364
164BNP Paribas FTP - Series 22 - Plan - A - Growth31-JAN-1210.7364
165BNP Paribas FTP - Series 22 - Plan - B - Growth01-FEB-12 0.0000
166BNP Paribas FTP - Series 22 - Plan - C - Growth01-FEB-12 0.0000
167BNP Paribas FTP - Series 22 - Plan - D - Calendar Dividend On Maturity01-FEB-12 0.0000
168BNP Paribas FTP - Series 22 - Plan - D - Growth01-FEB-1210.3277
169BNP Paribas FTP - Series 22 - Plan - E - Calendar Dividend On Maturity01-FEB-1210.2089
170BNP Paribas FTP - Series 22 - Plan - E - Growth01-FEB-1210.2092
171BNP Paribas Flexi Debt Fund - Regular - Daily Dividend31-JAN-1210.1006
172BNP Paribas Flexi Debt Fund - Regular - Growth31-JAN-1217.4738
173BNP Paribas Flexi Debt Fund - Regular - Half-Yearly Dividend31-JAN-1210.2900
174BNP Paribas Flexi Debt Fund - Regular - Monthly Dividend31-JAN-1210.0861
175BNP Paribas Flexi Debt Fund - Regular - Quarterly Dividend31-JAN-1210.1135
176BNP Paribas Flexi Debt Fund - Regular - Weekly Dividend31-JAN-1210.0693
177BNP Paribas Flexi Debt Fund - Regular Plan A - Daily Dividend22-OCT-1010.0443
178BNP Paribas Flexi Debt Fund - Regular Plan A - Growth31-JAN-1212.0192
179BNP Paribas Flexi Debt Fund - Regular Plan A - Half-Yearly Dividend26-AUG-1010.1872
180BNP Paribas Flexi Debt Fund - Regular Plan A - Monthly Dividend31-JAN-1210.0860
181BNP Paribas Flexi Debt Fund - Regular Plan A - Quarterly Dividend31-JAN-1210.1137
182BNP Paribas Flexi Debt Fund - Regular Plan A - Weekly Dividend09-NOV-1010.0238
183BNP Paribas Mid Cap Fund - Dividend31-JAN-12 9.0640
184BNP Paribas Mid Cap Fund - Growth31-JAN-12 9.1020
185BNP Paribas Money Plus Fund - Institutional Plan - Daily Dividend Option31-JAN-1210.0059
186BNP Paribas Money Plus Fund - Institutional Plan - Growth Option31-JAN-1215.9933
187BNP Paribas Money Plus Fund - Institutional Plan - Monthly Dividend Option31-JAN-1210.0834
188BNP Paribas Money Plus Fund - Institutional Plan - Weekly Dividend Option31-JAN-1210.0148
189BNP Paribas Money Plus Fund - Regular Plan - Daily Dividend Option31-JAN-1210.0053
190BNP Paribas Money Plus Fund - Regular Plan - Growth Option31-JAN-1215.7188
191BNP Paribas Money Plus Fund - Regular Plan - Monthly Dividend Option31-JAN-1210.0791
192BNP Paribas Money Plus Fund - Regular Plan - Weekly Dividend Option31-JAN-1210.0143
193BNP Paribas Monthly Income Plan - Growth31-JAN-1215.4562
194BNP Paribas Monthly Income Plan - Monthly Dividend31-JAN-1210.2417
195BNP Paribas Monthly Income Plan - Quarterly Dividend31-JAN-1210.2993
196BNP Paribas Overnight Fund - Institutional Plan - Daily Dividend31-JAN-1210.0030
197BNP Paribas Overnight Fund - Institutional Plan - Growth Option31-JAN-1216.2380
198BNP Paribas Overnight Fund - Institutional Plan - Monthly Dividend29-JAN-1210.0798
199BNP Paribas Overnight Fund - Institutional Plan - Weekly Dividend31-JAN-1210.0143
200BNP Paribas Overnight Fund - Regular - Growth Option31-JAN-1215.7555
201BNP Paribas Overnight Fund - Regular - Monthly Dividend31-JAN-1210.0780
202BNP Paribas Overnight Fund - Regular - Weekly Dividend31-JAN-1210.0133
203BNP Paribas Short Term Income Fund - Institutional - Daily Dividend31-JAN-1210.0327
204BNP Paribas Short Term Income Fund - Institutional - Growth31-JAN-1212.0359
205BNP Paribas Short Term Income Fund - Institutional - Monthly Dividend31-JAN-1210.0685
206BNP Paribas Short Term Income Fund - Institutional - Quarterly Dividend31-JAN-1210.1150
207BNP Paribas Short Term Income Fund - Institutional - Weekly Dividend31-JAN-1210.0537
208BNP Paribas Short Term Income Fund - Institutional Plus - Daily Dividend23-DEC-1010.0078
209BNP Paribas Short Term Income Fund - Institutional Plus - Growth15-DEC-1010.7077
210BNP Paribas Short Term Income Fund - Institutional Plus - Monthly Dividend27-FEB-0910.0262
211BNP Paribas Short Term Income Fund - Regular - Growth31-JAN-1216.1957
212BNP Paribas Short Term Income Fund - Regular - Monthly Dividend31-JAN-1210.0663
213BNP Paribas Short Term Income Fund - Regular - Quarterly Dividend31-JAN-1210.1099
214BNP Paribas Short Term Income Fund - Regular - Weekly Dividend31-JAN-1210.0355
215BNP Paribas Tax Advantage Plan - Dividend31-JAN-1210.9180
216BNP Paribas Tax Advantage Plan - Growth31-JAN-1213.7040
217Baroda Pioneer Balance Fund - Dividend31-JAN-1226.9600
218Baroda Pioneer Balance Fund - Growth31-JAN-1226.9600
219Baroda Pioneer ELSS 9631-JAN-1221.5600
220Baroda Pioneer Fixed Maturity Plan - 367 Days Series - 1 - Dividend31-JAN-1210.5507
221Baroda Pioneer Fixed Maturity Plan - 367 Days Series - 1 - Growth31-JAN-1210.5507
222Baroda Pioneer Fixed Maturity Plan - 367 Days Series - 2 - Dividend31-JAN-1210.2371
223Baroda Pioneer Fixed Maturity Plan - 367 Days Series - 2 - Growth31-JAN-1210.2371
224Baroda Pioneer Fixed Maturity Plan - 380 Days Series - 1 - Dividend31-JAN-1210.6722
225Baroda Pioneer Fixed Maturity Plan - 380 Days Series - 1 - Growth31-JAN-1210.8666
226Baroda Pioneer Fixed Maturity Plan - 90 Days Series - 5 - Dividend31-JAN-1210.1123
227Baroda Pioneer Fixed Maturity Plan - 90 Days Series - 5 - Growth31-JAN-1210.1123
228Baroda Pioneer Gilt Fund-Dividend31-JAN-1216.3527
229Baroda Pioneer Gilt Fund-Growth31-JAN-1216.3652
230Baroda Pioneer Growth Fund - Dividend31-JAN-1225.4600
231Baroda Pioneer Growth Fund - Growth31-JAN-1245.1900
232Baroda Pioneer Income Fund - Dividend31-JAN-1216.5821
233Baroda Pioneer Income Fund - Growth31-JAN-1216.5821
234Baroda Pioneer Infrastructure Fund - Dividend31-JAN-12 7.7600
235Baroda Pioneer Infrastructure Fund - Growth31-JAN-12 7.7600
236Baroda Pioneer Liquid Fund - Institutional - Daily Dividend31-JAN-121000.6300
237Baroda Pioneer Liquid Fund - Institutional - Growth31-JAN-121209.6029
238Baroda Pioneer Liquid Fund - Institutional - Monthly Dividend05-FEB-0910.0000
239Baroda Pioneer Liquid Fund - Institutional - Weekly Dividend31-JAN-121000.3430
240Baroda Pioneer Liquid Fund-Daily Dividend31-JAN-121006.0600
241Baroda Pioneer Liquid Fund-Dividend31-JAN-121570.7259
242Baroda Pioneer Liquid Fund-Growth31-JAN-121833.3492
243Baroda Pioneer MIP Fund - Dividend31-JAN-1211.9167
244Baroda Pioneer MIP Fund - Growth31-JAN-1213.4972
245Baroda Pioneer MIP Fund - Quarterly Dividend31-JAN-1212.0571
246Baroda Pioneer PSU Equity Fund - Dividend31-JAN-12 7.2800
247Baroda Pioneer PSU Equity Fund - Growth31-JAN-12 7.2800
248Baroda Pioneer Public Sector Undertaking (PSU) Bond Fund - Growth31-JAN-1211.3525
249Baroda Pioneer Public Sector Undertaking (PSU) Bond Fund - Monthly Dividend31-JAN-1210.1438
250Baroda Pioneer Public Sector Undertaking (PSU) Bond Fund - Quarterly Dividend31-JAN-1210.1378
251Baroda Pioneer Short Term Bond Fund - Dividend31-JAN-1210.1806
252Baroda Pioneer Short Term Bond Fund - Growth31-JAN-1211.0557
253Baroda Pioneer Treasury Advantage Fund - Institutional - Daily Dividend31-JAN-121000.9100
254Baroda Pioneer Treasury Advantage Fund - Institutional - Growth31-JAN-121193.7143
255Baroda Pioneer Treasury Advantage Fund - Institutional Plan - Monthly Dividend29-DEC-111001.8495
256Baroda Pioneer Treasury Advantage Fund - Institutional Plan - Quarterly Dividend24-JUN-0910.0000
257Baroda Pioneer Treasury Advantage Fund - Institutional Plan - Weekly Dividend31-JAN-121001.7660
258Baroda Pioneer Treasury Advantage Fund - Regular - Daily Dividend31-JAN-121000.9500
259Baroda Pioneer Treasury Advantage Fund - Regular - Growth31-JAN-121192.2780
260Baroda Pioneer Treasury Advantage Fund - Regular - Monthly Dividend31-JAN-121002.2457
261Baroda Pioneer Treasury Advantage Fund - Regular - Quarterly Dividend24-JUN-0910.0000
262Baroda Pioneer Treasury Advantage Fund - Regular - Weekly Dividend31-JAN-121000.2473
263Bharti AXA Equity Fund - Eco Plan - Bonus31-JAN-1216.2000
264Bharti AXA Equity Fund - Eco Plan - Dividend31-JAN-1211.4000
265Bharti AXA Equity Fund - Eco Plan - Growth27-JAN-1216.2000
266Bharti AXA Equity Fund - Eco Plan - Quarterly Dividend31-JAN-1210.3000
267Bharti AXA Equity Fund - Regular - Bonus31-JAN-1216.0700
268Bharti AXA Equity Fund - Regular - Dividend31-JAN-1211.3200
269Bharti AXA Equity Fund - Regular - Growth31-JAN-1216.0700
270Bharti AXA Equity Fund - Regular - Quarterly Dividend31-JAN-1210.2100
271Bharti AXA Focused Infrastructure Fund - Growth31-JAN-12 8.0600
272Bharti AXA Focused Infrastructure Fund - Quarterly Dividend31-JAN-12 8.0600
273Bharti AXA Focused Infrastructure Fund - Regular Dividend31-JAN-12 8.0600
274Bharti AXA Liquid Fund - Institutional - Daily Dividend31-JAN-121000.0000
275Bharti AXA Liquid Fund - Institutional - Growth31-JAN-121244.0391
276Bharti AXA Liquid Fund - Institutional - Monthly Dividend22-SEP-081001.9102
277Bharti AXA Liquid Fund - Institutional - Weekly Dividend13-MAR-111001.0013
278Bharti AXA Liquid Fund - Retail - Daily Dividend31-JAN-121000.0000
279Bharti AXA Liquid Fund - Retail - Growth31-JAN-121227.2519
280Bharti AXA Liquid Fund - Retail - Weekly Dividend31-JAN-121000.2117
281Bharti AXA Liquid Fund - Super Institutional - Daily Dividend29-MAY-111000.0000
282Bharti AXA Liquid Fund - Super Institutional - Growth19-DEC-111237.6115
283Bharti AXA Liquid Fund - Super Institutional - Weekly Dividend31-AUG-101000.1371
284Bharti AXA Regular Return Fund - Eco Plan - Annual Dividend31-JAN-1211.8357
285Bharti AXA Regular Return Fund - Eco Plan - Growth31-JAN-1211.8357
286Bharti AXA Regular Return Fund - Eco Plan - Monthly Dividend31-JAN-1210.9291
287Bharti AXA Regular Return Fund - Eco Plan - Quarterly Dividend31-JAN-1210.2731
288Bharti AXA Regular Return Fund - Regular - Annual Dividend31-JAN-1211.7491
289Bharti AXA Regular Return Fund - Regular - Growth31-JAN-1211.7491
290Bharti AXA Regular Return Fund - Regular - Monthly Dividend31-JAN-1210.5330
291Bharti AXA Regular Return Fund - Regular - Quarterly Dividend31-JAN-1210.7244
292Bharti AXA Short Term Income Fund - Institutional - Growth31-JAN-1211.8449
293Bharti AXA Short Term Income Fund - Institutional - Monthly Dividend09-MAR-1110.1566
294Bharti AXA Short Term Income Fund - Institutional - Quarterly Dividend02-MAR-1010.1171
295Bharti AXA Short Term Income Fund - Institutional - Weekly Dividend31-JAN-1210.0598
296Bharti AXA Short Term Income Fund - Regular - Growth31-JAN-1211.7227
297Bharti AXA Short Term Income Fund - Regular - Monthly Dividend31-JAN-1210.2557
298Bharti AXA Short Term Income Fund - Regular - Quarterly Dividend31-JAN-1210.2421
299Bharti AXA Tax Advantage Fund - Eco Plan - Dividend31-JAN-1211.1200
300Bharti AXA Tax Advantage Fund - Eco Plan - Growth31-JAN-1220.4200
301Bharti AXA Tax Advantage Fund - Regular - Dividend31-JAN-1211.0600
302Bharti AXA Tax Advantage Fund - Regular - Growth31-JAN-1220.2800
303Bharti AXA Treasury Advantage - Institutional - Daily Dividend31-JAN-121000.0000
304Bharti AXA Treasury Advantage - Institutional - Growth31-JAN-121269.7622
305Bharti AXA Treasury Advantage - Institutional - Monthly Dividend14-MAY-091002.0930
306Bharti AXA Treasury Advantage - Institutional - Weekly Dividend20-JUL-111001.1866
307Bharti AXA Treasury Advantage - Retail - Daily Dividend31-JAN-121000.0000
308Bharti AXA Treasury Advantage - Retail - Growth31-JAN-121251.2766
309Bharti AXA Treasury Advantage - Retail - Weekly Dividend31-JAN-121000.8851
310Birla Sun Life 95 Fund - Dividend31-JAN-12102.0700
311Birla Sun Life 95 Fund - Growth31-JAN-12298.6100
312Birla Sun Life AAF - Aggressive Plan - Dividend31-JAN-1232.5314
313Birla Sun Life AAF - Aggressive Plan - Growth31-JAN-1232.5314
314Birla Sun Life AAF - Conservative Plan - Dividend31-JAN-1221.3645
315Birla Sun Life AAF - Conservative Plan - Growth31-JAN-1221.3645
316Birla Sun Life AAF - Moderate Plan - Dividend31-JAN-1227.9328
317Birla Sun Life AAF - Moderate Plan - Growth31-JAN-1227.9328
318Birla Sun Life Advantage Fund - Dividend31-JAN-1271.4500
319Birla Sun Life Advantage Fund - Growth31-JAN-12139.6500
320Birla Sun Life Buy India Fund - Dividend31-JAN-1219.7600
321Birla Sun Life Buy India Fund - Growth31-JAN-1237.4400
322Birla Sun Life Capital Protection Oriented Fund - 5 Years - Dividend31-JAN-1212.7589
323Birla Sun Life Capital Protection Oriented Fund - 5 Years - Growth31-JAN-1212.7589
324Birla Sun Life Capital Protection Oriented Fund - Series 1 - Growth31-JAN-1210.9312
325Birla Sun Life Capital Protection Oriented Fund - Series 2 - Growth31-JAN-1210.4598
326Birla Sun Life Capital Protection Oriented Fund - Series 3 - Growth31-JAN-1210.5338
327Birla Sun Life Capital Protection Oriented Fund - Series 4 - Growth31-JAN-1210.7275
328Birla Sun Life Capital Protection Oriented Fund - Series 5 - Growth31-JAN-1210.0369
329Birla Sun Life Capital Protection Oriented Fund - Series 6 - Growth31-JAN-1210.4605
330Birla Sun Life Capital Protection Oriented Fund - Series 7 - Growth31-JAN-1210.6166
331Birla Sun Life Capital Protection Oriented Fund - Series 8 - Growth31-JAN-1210.9896
332Birla Sun Life Cash Manager - Daily Dividend31-JAN-12100.0450
333Birla Sun Life Cash Manager - Growth31-JAN-12256.1440
334Birla Sun Life Cash Manager - Institutional Plan - Daily Dividend31-JAN-12100.0300
335Birla Sun Life Cash Manager - Institutional Plan - Growth31-JAN-12177.1302
336Birla Sun Life Cash Manager - Institutional Plan - Weekly Dividend31-JAN-12100.1982
337Birla Sun Life Cash Manager - Weekly Dividend31-JAN-12100.1857
338Birla Sun Life Cash Plus - Discipline Advantage Plan - Growth31-JAN-12115.9409
339Birla Sun Life Cash Plus - Institutional - Daily Dividend31-JAN-12108.0230
340Birla Sun Life Cash Plus - Institutional - Weekly Dividend31-JAN-12108.1777
341Birla Sun Life Cash Plus - Institutional Growth31-JAN-12283.2420
342Birla Sun Life Cash Plus - Institutional Premium Plan - Daily Dividend31-JAN-12100.1950
343Birla Sun Life Cash Plus - Institutional Premium Plan - Growth30-JAN-12169.0312
344Birla Sun Life Cash Plus - Institutional Premium Plan - Weekly Dividend31-JAN-12100.3293
345Birla Sun Life Cash Plus - Retail Dividend31-JAN-12163.6940
346Birla Sun Life Cash Plus - Retail Growth31-JAN-12277.7398
347Birla Sun Life Commodity Equities Fund - Global Agri Plan - Retail - Dividend31-JAN-1215.6130
348Birla Sun Life Commodity Equities Fund - Global Agri Plan - Retail - Growth31-JAN-1215.6130
349Birla Sun Life Commodity Equities Fund - Global Multi Commodity Plan - Retail - Dividend31-JAN-1213.4388
350Birla Sun Life Commodity Equities Fund - Global Multi Commodity Plan - Retail - Growth31-JAN-1213.4388
351Birla Sun Life Commodity Equities Fund - Global Precious Metals Plan - Retail - Dividend31-JAN-1214.0429
352Birla Sun Life Commodity Equities Fund - Global Precious Metals Plan - Retail - Growth31-JAN-1214.0429
353Birla Sun Life Dividend Yield Plus - Dividend31-JAN-1212.4300
354Birla Sun Life Dividend Yield Plus - Growth31-JAN-1279.7500
355Birla Sun Life Dynamic Bond Fund - Discipline Advantage Plan - Growth31-JAN-1212.2738
356Birla Sun Life Dynamic Bond Fund - Retail Plan - Growth31-JAN-1217.7434
357Birla Sun Life Dynamic Bond Fund - Retail Plan - Monthly Dividend31-JAN-1210.5046
358Birla Sun Life Dynamic Bond Fund - Retail Plan - Quarterly Dividend31-JAN-1211.4276
359Birla Sun Life Enhanced Arbitrage Fund - Institutional - Dividend16-AUG-1010.1628
360Birla Sun Life Enhanced Arbitrage Fund - Retail - Dividend31-JAN-1211.2269
361Birla Sun Life Enhanced Arbitrage Fund - Retail - Growth31-JAN-1211.4964
362Birla Sun Life Equity Fund - Dividend31-JAN-1257.4000
363Birla Sun Life Equity Fund - Growth31-JAN-12227.8900
364Birla Sun Life FMP - Annual Series - 1 - Dividend09-DEC-0910.0004
365Birla Sun Life FMP - Annual Series - 1 - Growth09-DEC-0911.2566
366Birla Sun Life Fixed Term Plan - Series BV - Growth01-FEB-12 0.0000
367Birla Sun Life Fixed Term Plan - Series CH - Dividend31-JAN-1211.0777
368Birla Sun Life Fixed Term Plan - Series CH - Growth31-JAN-1211.0777
369Birla Sun Life Fixed Term Plan - Series CM - Dividend30-JAN-1210.0248
370Birla Sun Life Fixed Term Plan - Series CM - Growth30-JAN-1210.9631
371Birla Sun Life Fixed Term Plan - Series CN - Dividend31-JAN-1210.9317
372Birla Sun Life Fixed Term Plan - Series CN - Growth31-JAN-1210.9317
373Birla Sun Life Fixed Term Plan - Series CO - Dividend31-JAN-1210.2035
374Birla Sun Life Fixed Term Plan - Series CO - Growth31-JAN-1210.9663
375Birla Sun Life Fixed Term Plan - Series CP - Dividend31-JAN-1210.9439
376Birla Sun Life Fixed Term Plan - Series CP - Growth31-JAN-1210.9439
377Birla Sun Life Fixed Term Plan - Series CQ - Dividend31-JAN-1210.9243
378Birla Sun Life Fixed Term Plan - Series CQ - Growth31-JAN-1210.9243
379Birla Sun Life Fixed Term Plan - Series CR - Dividend31-JAN-1210.9234
380Birla Sun Life Fixed Term Plan - Series CR - Growth31-JAN-1210.9234
381Birla Sun Life Fixed Term Plan - Series CS - Dividend31-JAN-1210.8779
382Birla Sun Life Fixed Term Plan - Series CS - Growth31-JAN-1210.8779
383Birla Sun Life Fixed Term Plan - Series CT - Dividend31-JAN-1210.8973
384Birla Sun Life Fixed Term Plan - Series CT - Growth31-JAN-1210.8973
385Birla Sun Life Fixed Term Plan - Series CU - Dividend31-JAN-1210.8691
386Birla Sun Life Fixed Term Plan - Series CU - Growth31-JAN-1210.8691
387Birla Sun Life Fixed Term Plan - Series CV - Dividend31-JAN-1210.8368
388Birla Sun Life Fixed Term Plan - Series CV - Growth31-JAN-1210.8368
389Birla Sun Life Fixed Term Plan - Series CW - Dividend31-JAN-1210.8624
390Birla Sun Life Fixed Term Plan - Series CW - Growth31-JAN-1210.8624
391Birla Sun Life Fixed Term Plan - Series CX - Dividend31-JAN-1210.8062
392Birla Sun Life Fixed Term Plan - Series CX - Growth31-JAN-1210.8062
393Birla Sun Life Fixed Term Plan - Series CY - Dividend31-JAN-1210.7141
394Birla Sun Life Fixed Term Plan - Series CY - Growth31-JAN-1210.7141
395Birla Sun Life Fixed Term Plan - Series CZ - Dividend31-JAN-1210.6329
396Birla Sun Life Fixed Term Plan - Series CZ - Growth31-JAN-1210.6329
397Birla Sun Life Fixed Term Plan - Series DA - Dividend31-JAN-1210.6664
398Birla Sun Life Fixed Term Plan - Series DA - Growth31-JAN-1210.6664
399Birla Sun Life Fixed Term Plan - Series DB - Dividend31-JAN-1210.6694
400Birla Sun Life Fixed Term Plan - Series DB - Growth31-JAN-1210.6694
401Birla Sun Life Fixed Term Plan - Series DC - Dividend31-JAN-1210.6230
402Birla Sun Life Fixed Term Plan - Series DC - Growth31-JAN-1210.6230
403Birla Sun Life Fixed Term Plan - Series DD - Dividend31-JAN-1210.6259
404Birla Sun Life Fixed Term Plan - Series DD - Growth31-JAN-1210.6259
405Birla Sun Life Fixed Term Plan - Series DE - Dividend31-JAN-1210.5090
406Birla Sun Life Fixed Term Plan - Series DE - Growth31-JAN-1210.5090
407Birla Sun Life Fixed Term Plan - Series DF31-JAN-1210.3891
408Birla Sun Life Fixed Term Plan - Series DG - Dividend31-JAN-1210.4495
409Birla Sun Life Fixed Term Plan - Series DG - Growth31-JAN-1210.4495
410Birla Sun Life Fixed Term Plan - Series DH - Dividend31-JAN-1210.4866
411Birla Sun Life Fixed Term Plan - Series DH - Growth31-JAN-1210.4866
412Birla Sun Life Fixed Term Plan - Series DI - Dividend31-JAN-1210.4262
413Birla Sun Life Fixed Term Plan - Series DI - Growth31-JAN-1210.4262
414Birla Sun Life Fixed Term Plan - Series DJ - Dividend31-JAN-1210.3988
415Birla Sun Life Fixed Term Plan - Series DJ - Growth31-JAN-1210.3988
416Birla Sun Life Fixed Term Plan - Series DK - Dividend31-JAN-1210.3970
417Birla Sun Life Fixed Term Plan - Series DK - Growth31-JAN-1210.3970
418Birla Sun Life Fixed Term Plan - Series DL - Dividend31-JAN-1210.3174
419Birla Sun Life Fixed Term Plan - Series DL - Growth31-JAN-1210.3174
420Birla Sun Life Fixed Term Plan - Series DM31-JAN-1210.2285
421Birla Sun Life Fixed Term Plan - Series DN - Dividend31-JAN-1210.3022
422Birla Sun Life Fixed Term Plan - Series DN - Growth31-JAN-1210.3022
423Birla Sun Life Fixed Term Plan - Series DO - Dividend31-JAN-1210.2587
424Birla Sun Life Fixed Term Plan - Series DO - Growth31-JAN-1210.2587
425Birla Sun Life Fixed Term Plan - Series DP - Dividend31-JAN-1210.3356
426Birla Sun Life Fixed Term Plan - Series DP - Growth31-JAN-1210.3356
427Birla Sun Life Fixed Term Plan - Series DQ - Dividend31-JAN-1210.2414
428Birla Sun Life Fixed Term Plan - Series DQ - Growth31-JAN-1210.2414
429Birla Sun Life Fixed Term Plan - Series DR31-JAN-1210.1583
430Birla Sun Life Fixed Term Plan - Series DS - Dividend31-JAN-1210.1978
431Birla Sun Life Fixed Term Plan - Series DS - Growth31-JAN-1210.1978
432Birla Sun Life Fixed Term Plan - Series DT - Dividend31-JAN-1210.1397
433Birla Sun Life Fixed Term Plan - Series DT - Growth31-JAN-1210.1397
434Birla Sun Life Fixed Term Plan - Series DU - Dividend31-JAN-1210.1023
435Birla Sun Life Fixed Term Plan - Series DU - Growth31-JAN-1210.1023
436Birla Sun Life Fixed Term Plan - Series DV - Dividend31-JAN-1210.1578
437Birla Sun Life Fixed Term Plan - Series DV - Growth31-JAN-1210.1578
438Birla Sun Life Fixed Term Plan - Series DW - Dividend31-JAN-1210.1025
439Birla Sun Life Fixed Term Plan - Series DW - Growth31-JAN-1210.1025
440Birla Sun Life Fixed Term Plan - Series DX - Dividend31-JAN-1210.0963
441Birla Sun Life Fixed Term Plan - Series DX - Growth31-JAN-1210.0963
442Birla Sun Life Fixed Term Plan - Series DY - Dividend31-JAN-1210.0948
443Birla Sun Life Fixed Term Plan - Series DY - Growth31-JAN-1210.0948
444Birla Sun Life Fixed Term Plan - Series DZ31-JAN-1210.0428
445Birla Sun Life Fixed Term Plan - Series EA - Dividend31-JAN-1210.0940
446Birla Sun Life Fixed Term Plan - Series EA - Growth01-FEB-12 0.0000
447Birla Sun Life Fixed Term Plan - Series EB - Dividend01-FEB-12 0.0000
448Birla Sun Life Fixed Term Plan - Series EB - Growth01-FEB-12 0.0000
449Birla Sun Life Fixed Term Plan - Series EC - Dividend01-FEB-12 0.0000
450Birla Sun Life Fixed Term Plan - Series EC - Growth01-FEB-12 0.0000
451Birla Sun Life Fixed Term Plan - Series ED - Dividend01-FEB-12 0.0000
452Birla Sun Life Fixed Term Plan - Series ED - Growth01-FEB-12 0.0000
453Birla Sun Life Fixed Term Plan - Series EE - Dividend01-FEB-12 0.0000
454Birla Sun Life Fixed Term Plan - Series EE - Growth01-FEB-12 0.0000
455Birla Sun Life Fixed Term Plan - Series EF - Dividend01-FEB-12 0.0000
456Birla Sun Life Fixed Term Plan - Series EF - Growth01-FEB-12 0.0000
457Birla Sun Life Floating Rate Fund - Long Term Plan - Growth31-JAN-12181.5042
458Birla Sun Life Floating Rate Fund - Long Term Plan - Institutional - Daily Dividend31-JAN-12100.0190
459Birla Sun Life Floating Rate Fund - Long Term Plan - Institutional - Growth31-JAN-12124.9388
460Birla Sun Life Floating Rate Fund - Long Term Plan - Institutional - Weekly Dividend31-JAN-12100.1907
461Birla Sun Life Floating Rate Fund - Long Term Plan - Weekly Dividend31-JAN-12100.1880
462Birla Sun Life Floating Rate Fund - Short Term Plan - Daily Dividend31-JAN-12100.0150
463Birla Sun Life Floating Rate Fund - Short Term Plan - Growth31-JAN-12173.7023
464Birla Sun Life Floating Rate Fund - Short Term Plan - Institutional - Daily Dividend31-JAN-12100.0200
465Birla Sun Life Floating Rate Fund - Short Term Plan - Institutional - Growth31-JAN-12140.1395
466Birla Sun Life Floating Rate Fund - Short Term Plan - Institutional - Weekly Dividend31-JAN-12100.1810
467Birla Sun Life Floating Rate Fund - Short Term Plan - Weekly Dividend31-JAN-12103.8510
468Birla Sun Life Frontline Equity Fund - Dividend31-JAN-1219.4500
469Birla Sun Life Frontline Equity Fund - Growth31-JAN-1280.9300
470Birla Sun Life Gilt Plus - Liquid Plan - Annual Dividend31-JAN-1210.7599
471Birla Sun Life Gilt Plus - Liquid Plan - Growth31-JAN-1223.7677
472Birla Sun Life Gilt Plus - Liquid Plan - Quarterly Dividend31-JAN-1210.6203
473Birla Sun Life Gilt Plus - PF Plan - Growth31-JAN-1227.4177
474Birla Sun Life Gilt Plus - PF Plan - Quarterly Dividend31-JAN-1210.9980
475Birla Sun Life Gilt Plus - Regular Plan - Growth31-JAN-1233.7903
476Birla Sun Life Gilt Plus - Regular Plan - Quarterly Dividend31-JAN-1212.4716
477Birla Sun Life Gold ETF31-JAN-122842.5623
478Birla Sun Life Government Securities Long Term - Dividend31-JAN-1211.7974
479Birla Sun Life Government Securities Long Term - Growth30-JAN-1230.8192
480Birla Sun Life Government Securities Short Term - Daily Dividend31-JAN-1210.0031
481Birla Sun Life Government Securities Short Term - Growth31-JAN-1220.2106
482Birla Sun Life Government Securities Short Term - Institutional - Daily Dividend06-NOV-0910.0000
483Birla Sun Life Government Securities Short Term - Institutional - Dividend31-JAN-1210.0000
484Birla Sun Life Government Securities Short Term - Institutional - Weekly Dividend20-AUG-0910.0000
485Birla Sun Life Income Plus - Discipline Advantage Plan - Growth31-JAN-1211.9122
486Birla Sun Life Income Plus - Dividend31-JAN-1212.5597
487Birla Sun Life Income Plus - Growth31-JAN-1247.2320
488Birla Sun Life Index Fund - Dividend31-JAN-1219.7505
489Birla Sun Life Index Fund - Growth31-JAN-1251.0934
490Birla Sun Life India Generation Next Fund - Dividend31-JAN-1213.3000
491Birla Sun Life India Generation Next Fund - Growth31-JAN-1223.5700
492Birla Sun Life India Opportunities Fund - Dividend31-JAN-1214.3600
493Birla Sun Life India Opportunities Fund - Growth31-JAN-1245.4300
494Birla Sun Life India Reforms Fund - Dividend31-JAN-12 8.5200
495Birla Sun Life India Reforms Fund - Growth31-JAN-12 8.5200
496Birla Sun Life Infrastructure Fund - Dividend31-JAN-12 9.4600
497Birla Sun Life Infrastructure Fund - Growth31-JAN-1213.7300
498Birla Sun Life International Equity Fund - Plan A - Dividend31-JAN-12 9.8308
499Birla Sun Life International Equity Fund - Plan A - Growth31-JAN-12 9.8308
500Birla Sun Life International Equity Fund - Plan B - Dividend31-JAN-12 8.7633
501Birla Sun Life International Equity Fund - Plan B - Growth31-JAN-12 8.7633
502Birla Sun Life Interval Income Fund - Monthly Series 2- Institutional - Dividend06-NOV-0910.0010
503Birla Sun Life Interval Income Fund - Monthly Series 2- Institutional - Growth02-JUL-0910.0000
504Birla Sun Life Interval Income Fund - Monthly Series 2- Retail - Dividend06-NOV-0910.0010
505Birla Sun Life Interval Income Fund - Monthly Series 2- Retail - Growth06-NOV-0911.3888
506Birla Sun Life Interval Income Fund - Quarterly Series 1- Institutional - Dividend01-FEB-12 0.0000
507Birla Sun Life Interval Income Fund - Quarterly Series 1- Institutional - Growth01-FEB-12 0.0000
508Birla Sun Life Interval Income Fund - Quarterly Series 1- Retail - Dividend01-FEB-12 0.0000
509Birla Sun Life Interval Income Fund - Quarterly Series 1- Retail - Growth01-FEB-12 0.0000
510Birla Sun Life Long Term Advantage Fund - Dividend31-JAN-1212.0000
511Birla Sun Life Long Term Advantage Fund - Growth31-JAN-1212.9900
512Birla Sun Life MIP II - Savings 5 Plan - Growth31-JAN-1218.8256
513Birla Sun Life MIP II - Savings 5 Plan - Monthly Dividend31-JAN-1211.4299
514Birla Sun Life MIP II - Savings 5 Plan - Monthly Payment31-JAN-1218.8256
515Birla Sun Life MIP II - Wealth 25 Plan - Growth31-JAN-1218.4712
516Birla Sun Life MIP II - Wealth 25 Plan - Monthly Dividend31-JAN-1211.0931
517Birla Sun Life MIP II - Wealth 25 Plan - Monthly Payment31-JAN-1218.4712
518Birla Sun Life MNC Fund - Plan A - Dividend31-JAN-1277.9100
519Birla Sun Life MNC Fund - Plan B - Growth31-JAN-12206.8700
520Birla Sun Life Medium Term Plan - Institutional - Daily Dividend21-AUG-0910.0000
521Birla Sun Life Medium Term Plan - Institutional - Fortnightly Dividend31-JAN-1210.2275
522Birla Sun Life Medium Term Plan - Institutional - Growth31-JAN-1211.8601
523Birla Sun Life Medium Term Plan - Institutional - Monthly Dividend31-JAN-1210.1584
524Birla Sun Life Medium Term Plan - Institutional - Weekly Dividend31-JAN-1210.0360
525Birla Sun Life Medium Term Plan - Retail - Fortnightly Dividend31-JAN-1210.2259
526Birla Sun Life Medium Term Plan - Retail - Growth31-JAN-1212.2178
527Birla Sun Life Medium Term Plan - Retail - Monthly Dividend31-JAN-1210.2009
528Birla Sun Life Medium Term Plan - Retail - Weekly Dividend31-JAN-1210.0247
529Birla Sun Life Mid Cap Fund - Dividend31-JAN-1219.5200
530Birla Sun Life Mid Cap Fund - Growth31-JAN-1296.2800
531Birla Sun Life Monthly Income - Growth Plan31-JAN-1238.3129
532Birla Sun Life Monthly Income - Monthly Dividend31-JAN-1211.2807
533Birla Sun Life Monthly Income - Quarterly Dividend31-JAN-1211.7808
534Birla Sun Life Monthly Income Plan - Growth31-JAN-1227.7025
535Birla Sun Life Monthly Income Plan - Monthly Dividend31-JAN-1211.2421
536Birla Sun Life Monthly Income Plan - Monthly Payment Plan31-JAN-1227.7025
537Birla Sun Life New Millennium - Dividend31-JAN-1211.5900
538Birla Sun Life New Millennium - Growth31-JAN-1217.7500
539Birla Sun Life Nifty ETF - Growth31-JAN-1252.0935
540Birla Sun Life Pure Value Fund - Dividend31-JAN-1214.1412
541Birla Sun Life Pure Value Fund - Growth31-JAN-1215.0924
542Birla Sun Life Quarterly Interval Fund - Series 1 - Dividend02-JUN-0910.0000
543Birla Sun Life Quarterly Interval Fund - Series 1 - Growth02-JUN-0911.3120
544Birla Sun Life Quarterly Interval Fund - Series 2 - Dividend27-NOV-0910.0000
545Birla Sun Life Quarterly Interval Fund - Series 2 - Growth27-NOV-0911.5031
546Birla Sun Life Quarterly Interval Fund - Series 4 - Dividend01-FEB-12 0.0000
547Birla Sun Life Quarterly Interval Fund - Series 4 - Growth01-FEB-12 0.0000
548Birla Sun Life Quarterly Interval Fund - Series 8 - Dividend06-AUG-0910.0000
549Birla Sun Life Quarterly Interval Fund - Series 8 - Growth06-AUG-0911.2623
550Birla Sun Life Quarterly Interval Fund - Series 9 - Dividend11-JUN-0910.0000
551Birla Sun Life Quarterly Interval Fund - Series 9 - Growth11-JUN-0911.3489
552Birla Sun Life Savings - Discipline Advantage Plan - Growth31-JAN-12116.5582
553Birla Sun Life Savings - Institutional - Daily Dividend31-JAN-12100.0680
554Birla Sun Life Savings - Institutional - Growth31-JAN-12201.2260
555Birla Sun Life Savings - Institutional - Weekly Dividend31-JAN-12100.1092
556Birla Sun Life Savings - Retail - Daily Dividend31-JAN-12100.0680
557Birla Sun Life Savings - Retail - Growth31-JAN-12195.7585
558Birla Sun Life Savings - Retail - Weekly Dividend31-JAN-12100.1074
559Birla Sun Life Short Term FMP - Series 18 - Dividend01-FEB-12 0.0000
560Birla Sun Life Short Term FMP - Series 18 - Growth01-FEB-12 0.0000
561Birla Sun Life Short Term FMP - Series 20 - Dividend01-FEB-12 0.0000
562Birla Sun Life Short Term FMP - Series 20 - Growth01-FEB-12 0.0000
563Birla Sun Life Short Term FMP - Series 21 - Dividend01-FEB-12 0.0000
564Birla Sun Life Short Term FMP - Series 21 - Growth01-FEB-12 0.0000
565Birla Sun Life Short Term FMP - Series 22 - Dividend01-FEB-12 0.0000
566Birla Sun Life Short Term FMP - Series 22 - Growth01-FEB-12 0.0000
567Birla Sun Life Short Term FMP - Series 23 - Dividend01-FEB-12 0.0000
568Birla Sun Life Short Term FMP - Series 23 - Growth01-FEB-12 0.0000
569Birla Sun Life Short Term FMP - Series 24 - Dividend01-FEB-12 0.0000
570Birla Sun Life Short Term FMP - Series 24 - Growth01-FEB-12 0.0000
571Birla Sun Life Short Term FMP - Series 25 - Dividend01-FEB-12 0.0000
572Birla Sun Life Short Term FMP - Series 25 - Growth01-FEB-12 0.0000
573Birla Sun Life Short Term FMP - Series 27 - Dividend01-FEB-12 0.0000
574Birla Sun Life Short Term FMP - Series 27 - Growth01-FEB-12 0.0000
575Birla Sun Life Short Term Fund - Discipline Advantage Plan - Growth31-JAN-1211.8890
576Birla Sun Life Short Term Fund - Growth31-JAN-1238.7226
577Birla Sun Life Short Term Fund - Monthly Dividend31-JAN-1211.5899
578Birla Sun Life Short Term Opportunities Fund - Institutional - Dividend31-JAN-1210.9314
579Birla Sun Life Short Term Opportunities Fund - Institutional - Growth31-JAN-1212.0891
580Birla Sun Life Short Term Opportunities Fund - Institutional - Weekly Dividend31-JAN-1210.0000
581Birla Sun Life Short Term Opportunities Fund - Retail - Dividend31-JAN-1210.8197
582Birla Sun Life Short Term Opportunities Fund - Retail - Growth31-JAN-1216.5071
583Birla Sun Life Short Term Opportunities Fund - Retail - Weekly Dividend31-JAN-1210.0153
584Birla Sun Life Small & Midcap Fund - Dividend31-JAN-1210.7416
585Birla Sun Life Small & Midcap Fund - Growth31-JAN-1210.7416
586Birla Sun Life Special Situations Fund - Dividend31-JAN-12 8.6549
587Birla Sun Life Special Situations Fund - Growth31-JAN-12 8.6549
588Birla Sun Life Tax Plan - Dividend31-JAN-1241.1700
589Birla Sun Life Tax Plan - Growth31-JAN-1212.4900
590Birla Sun Life Tax Relief 96 - Dividend31-JAN-1268.0300
591Birla Sun Life Tax Relief 96 - Growth31-JAN-12 9.6400
592Birla Sun Life Top 100 Fund - Dividend31-JAN-1213.1126
593Birla Sun Life Top 100 Fund - Growth31-JAN-1221.2886
594Birla Sun Life Ultra Short Term Fund - Daily Dividend31-JAN-12100.0550
595Birla Sun Life Ultra Short Term Fund - Discipline Advantage Plan - Growth31-JAN-12118.3961
596Birla Sun Life Ultra Short Term Fund - Fortnightly Dividend31-JAN-12103.8971
597Birla Sun Life Ultra Short Term Fund - Institutional Plan - Daily Dividend31-JAN-12100.0550
598Birla Sun Life Ultra Short Term Fund - Institutional Plan - Fortnightly Dividend31-JAN-12103.0365
599Birla Sun Life Ultra Short Term Fund - Institutional Plan - Growth31-JAN-12126.0998
600Birla Sun Life Ultra Short Term Fund - Institutional Plan - Weekly Dividend31-JAN-12101.8848
601Birla Sun Life Ultra Short Term Fund-Growth31-JAN-12190.6124
602Canara Capital Protection Oriented Fund - Series 1 - Plan A - Dividend01-FEB-1210.5446
603Canara Capital Protection Oriented Fund - Series 1 - Plan A - Growth01-FEB-1210.5446
604Canara Robeco Balance - Dividend31-JAN-1250.2400
605Canara Robeco Balance - Growth31-JAN-1259.6300
606Canara Robeco Dynamic Bond Fund - Institutional - Dividend31-JAN-1210.0000
607Canara Robeco Dynamic Bond Fund - Institutional - Growth31-JAN-1210.0000
608Canara Robeco Dynamic Bond Fund - Institutional - Growth with Automatic Repurchase31-JAN-1210.0000
609Canara Robeco Dynamic Bond Fund - Retail - Dividend31-JAN-1210.9107
610Canara Robeco Dynamic Bond Fund - Retail - Growth31-JAN-1211.5248
611Canara Robeco Dynamic Bond Fund - Retail - Growth with Automatic Repurchase31-JAN-1211.5248
612Canara Robeco Emerging Equities - Bonus31-JAN-1217.2400
613Canara Robeco Emerging Equities - Dividend30-JAN-1213.9400
614Canara Robeco Emerging Equities - Growth31-JAN-1220.5900
615Canara Robeco Equity Diversified - Bonus31-JAN-1222.9000
616Canara Robeco Equity Diversified - Dividend31-JAN-1222.8600
617Canara Robeco Equity Diversified - Growth31-JAN-1252.4600
618Canara Robeco Equity Tax Saver - Dividend31-JAN-1217.3800
619Canara Robeco Equity Tax Saver - Growth31-JAN-1224.6500
620Canara Robeco F.O.R.C.E Fund - Institutional - Dividend31-JAN-1210.0000
621Canara Robeco F.O.R.C.E Fund - Institutional - Growth31-JAN-1212.4700
622Canara Robeco F.O.R.C.E Fund - Retail - Dividend31-JAN-1211.6000
623Canara Robeco F.O.R.C.E Fund - Retail - Growth31-JAN-1212.4400
624Canara Robeco FMP Series 6 - 13 Months Plan A - Dividend01-FEB-1210.9344
625Canara Robeco FMP Series 6 - 13 Months Plan A - Growth01-FEB-1210.9344
626Canara Robeco FMP Series 6 - 13 Months Plan B - Dividend01-FEB-1210.8486
627Canara Robeco FMP Series 6 - 13 Months Plan B - Growth01-FEB-1210.8486
628Canara Robeco FMP Series 6 - 14 Months Plan A - Dividend01-FEB-1210.9798
629Canara Robeco FMP Series 6 - 14 Months Plan A - Growth01-FEB-1210.9798
630Canara Robeco Floating Rate - Daily Dividend31-JAN-1210.2600
631Canara Robeco Floating Rate - Dividend31-JAN-1214.7234
632Canara Robeco Floating Rate - Fortnightly Dividend31-JAN-1210.0334
633Canara Robeco Floating Rate - Growth31-JAN-1216.4410
634Canara Robeco Floating Rate - Monthly Dividend31-JAN-1210.2760
635Canara Robeco Floating Rate - Weekly Dividend31-JAN-1210.2760
636Canara Robeco Gilt Advantage Fund - Dividend31-JAN-1210.6807
637Canara Robeco Gilt Advantage Fund - Growth31-JAN-1210.7878
638Canara Robeco Gilt PGS - Dividend31-JAN-1211.8314
639Canara Robeco Gilt PGS - Growth31-JAN-1227.7427
640Canara Robeco InDiGo Fund - Growth31-JAN-1212.1269
641Canara Robeco InDiGo Fund - Quarterly Dividend31-JAN-1211.5201
642Canara Robeco Income - Bonus Plan31-JAN-1213.3504
643Canara Robeco Income - Dividend31-JAN-1213.0722
644Canara Robeco Income - Growth Plan31-JAN-1222.1169
645Canara Robeco Infrastructure - Dividend31-JAN-1216.4200
646Canara Robeco Infrastructure - Growth31-JAN-1220.6200
647Canara Robeco Interval Series 2 - Quarterly Plan - 2 - Institutional - Dividend31-JAN-1210.1112
648Canara Robeco Interval Series 2 - Quarterly Plan - 2 - Institutional - Growth31-JAN-1211.9846
649Canara Robeco Interval Series 2 - Quarterly Plan - 2 - Retail - Dividend31-JAN-1210.1111
650Canara Robeco Interval Series 2 - Quarterly Plan - 2 - Retail - Growth31-JAN-1212.5242
651Canara Robeco Large Cap+ Fund - Dividend31-JAN-1210.1000
652Canara Robeco Large Cap+ Fund - Growth31-JAN-1210.1000
653Canara Robeco Liquid - Institutional Plan - Daily Dividend31-JAN-121005.5000
654Canara Robeco Liquid - Institutional Plan - Dividend Option31-JAN-121005.5000
655Canara Robeco Liquid - Institutional Plan - Fortnightly Dividend31-JAN-121000.0000
656Canara Robeco Liquid - Institutional Plan - Growth31-JAN-121909.0063
657Canara Robeco Liquid - Institutional Plan - Monthly Dividend31-JAN-121002.8765
658Canara Robeco Liquid - Institutional Plan - Weekly Dividend31-JAN-121001.6078
659Canara Robeco Liquid - Retail - Dividend31-JAN-121007.0000
660Canara Robeco Liquid - Retail - Fortnightly Dividend31-JAN-121008.5603
661Canara Robeco Liquid - Retail - Growth Plan31-JAN-121893.1459
662Canara Robeco Liquid - Retail - Monthly Dividend31-JAN-121006.9086
663Canara Robeco Liquid - Retail - Weekly Dividend31-JAN-121006.9090
664Canara Robeco Liquid - Super Institutional - Daily Dividend31-JAN-121005.5000
665Canara Robeco Liquid - Super Institutional - Fortnightly Dividend31-JAN-121000.0000
666Canara Robeco Liquid - Super Institutional - Growth31-JAN-121283.9805
667Canara Robeco Liquid - Super Institutional - Weekly Dividend31-JAN-121000.0000
668Canara Robeco Monthly Income Interval Plan - Institutional - Dividend27-JAN-0910.0000
669Canara Robeco Monthly Income Interval Plan - Institutional - Growth27-JAN-0910.8559
670Canara Robeco Monthly Income Interval Plan - Retail - Dividend27-JAN-0910.0000
671Canara Robeco Monthly Income Interval Plan - Retail - Growth27-JAN-0911.0006
672Canara Robeco Monthly Income Plan - Growth Plan31-JAN-1230.8807
673Canara Robeco Monthly Income Plan - Monthly Dividend31-JAN-1213.7241
674Canara Robeco Monthly Income Plan - Quarterly Dividend31-JAN-1213.8165
675Canara Robeco Multicap - Dividend31-JAN-1213.6000
676Canara Robeco Multicap - Growth31-JAN-1214.6600
677Canara Robeco Nifty Index - Dividend31-JAN-1218.2768
678Canara Robeco Nifty Index - Growth31-JAN-1227.5405
679Canara Robeco Quarterly Income Interval Plan - Institutional - Dividend04-MAY-0910.0000
680Canara Robeco Quarterly Income Interval Plan - Institutional - Growth04-MAY-0911.0302
681Canara Robeco Quarterly Income Interval Plan - Retail - Dividend04-MAY-0910.0000
682Canara Robeco Quarterly Income Interval Plan - Retail - Growth04-MAY-0911.2567
683Canara Robeco Short Term Fund - Institutional - Growth31-JAN-1212.2713
684Canara Robeco Short Term Fund - Institutional - Monthly Dividend31-JAN-1210.1296
685Canara Robeco Short Term Fund - Institutional - Weekly Dividend31-JAN-1210.0491
686Canara Robeco Short Term Fund - Retail - Growth31-JAN-1212.0973
687Canara Robeco Short Term Fund - Retail - Monthly Dividend31-JAN-1210.1289
688Canara Robeco Short Term Fund - Retail - Weekly Dividend31-JAN-1210.1341
689Canara Robeco Treasury Advantage Fund - Institutional - Daily Dividend31-JAN-121240.7100
690Canara Robeco Treasury Advantage Fund - Institutional - Growth31-JAN-121732.7049
691Canara Robeco Treasury Advantage Fund - Institutional - Monthly Dividend31-JAN-121000.0000
692Canara Robeco Treasury Advantage Fund - Institutional - Weekly Dividend31-JAN-121242.5731
693Canara Robeco Treasury Advantage Fund - Retail - Daily Dividend31-JAN-121240.7100
694Canara Robeco Treasury Advantage Fund - Retail - Fortnightly Dividend31-JAN-121244.5361
695Canara Robeco Treasury Advantage Fund - Retail - Growth31-JAN-121719.9284
696Canara Robeco Treasury Advantage Fund - Retail - Income31-JAN-121183.7022
697Canara Robeco Treasury Advantage Fund - Retail - Monthly Dividend31-JAN-121242.4611
698Canara Robeco Treasury Advantage Fund - Retail - Weekly Dividend31-JAN-121242.4611
699Canara Robeco Treasury Advantage Fund - Super Institutional - Daily Dividend31-JAN-121240.7100
700Canara Robeco Treasury Advantage Fund - Super Institutional - Growth31-JAN-121601.7371
701Canara Robeco Treasury Advantage Fund - Super Institutional - Weekly Dividend31-JAN-121242.6342
702Canara Robeco Yield Advantage Fund - Growth31-JAN-1210.5997
703Canara Robeco Yield Advantage Fund - Monthly Dividend31-JAN-1210.5999
704Canara Robeco Yield Advantage Fund - Quarterly Dividend31-JAN-1210.5996
705DSP BlackRock Balanced Fund- 54EA-Dividend31-JAN-1220.8200
706DSP BlackRock Balanced Fund- 54EA-Growth31-JAN-1263.3120
707DSP BlackRock Balanced Fund- 54EB-Dividend30-JAN-1220.4370
708DSP BlackRock Balanced Fund- 54EB-Growth31-JAN-1263.3120
709DSP BlackRock Balanced Fund- Dividend31-JAN-1220.8200
710DSP BlackRock Balanced Fund-Growth31-JAN-1263.3120
711DSP BlackRock Bond Fund - Retail Plan - Dividend31-JAN-1211.0533
712DSP BlackRock Bond Fund - Retail Plan - Growth31-JAN-1233.9954
713DSP BlackRock Bond Fund - Retail Plan - Monthly Dividend31-JAN-1211.1591
714DSP BlackRock Equity Fund - Institutional - Dividend24-JUN-0911.0680
715DSP BlackRock Equity Fund - Institutional - Growth31-JAN-1212.1520
716DSP BlackRock Equity Fund - Regular - Dividend31-JAN-1244.9150
717DSP BlackRock Equity Fund - Regular - Growth31-JAN-1215.2890
718DSP BlackRock FMP - 12 M - Series 13 - Dividend31-JAN-1210.1088
719DSP BlackRock FMP - 12 M - Series 13 - Growth31-JAN-1210.9650
720DSP BlackRock FMP - 12 M - Series 14 - Dividend31-JAN-1210.1105
721DSP BlackRock FMP - 12 M - Series 14 - Growth01-FEB-12 0.0000
722DSP BlackRock FMP - 12 M - Series 15 - Dividend01-FEB-1210.1141
723DSP BlackRock FMP - 12 M - Series 15 - Growth01-FEB-1210.8955
724DSP BlackRock FMP - 12 M - Series 16 - Dividend01-FEB-1210.1049
725DSP BlackRock FMP - 12 M - Series 16 - Growth01-FEB-1210.8548
726DSP BlackRock FMP - 12 M - Series 17 - Dividend01-FEB-1210.1158
727DSP BlackRock FMP - 12 M - Series 17 - Growth01-FEB-1210.8469
728DSP BlackRock FMP - 12 M - Series 18 - Dividend01-FEB-1210.1152
729DSP BlackRock FMP - 12 M - Series 18 - Growth01-FEB-1210.8229
730DSP BlackRock FMP - 12 M - Series 19 - Dividend01-FEB-1210.7058
731DSP BlackRock FMP - 12 M - Series 19 - Growth01-FEB-1210.7058
732DSP BlackRock FMP - 12 M - Series 20 - Dividend01-FEB-1210.6525
733DSP BlackRock FMP - 12 M - Series 20 - Growth01-FEB-1210.6525
734DSP BlackRock FMP - 12 M - Series 21 - Dividend01-FEB-1210.6086
735DSP BlackRock FMP - 12 M - Series 21 - Growth01-FEB-1210.6086
736DSP BlackRock FMP - 12 M - Series 22 - Dividend31-JAN-1210.5804
737DSP BlackRock FMP - 12 M - Series 22 - Growth31-JAN-1210.5804
738DSP BlackRock FMP - 12 M - Series 23 - Dividend31-JAN-1210.5610
739DSP BlackRock FMP - 12 M - Series 23 - Growth31-JAN-1210.5610
740DSP BlackRock FMP - 12 M - Series 24 - Dividend31-JAN-1210.5302
741DSP BlackRock FMP - 12 M - Series 24 - Growth31-JAN-1210.5302
742DSP BlackRock FMP - 12 M - Series 25 - Dividend31-JAN-1210.4903
743DSP BlackRock FMP - 12 M - Series 25 - Growth31-JAN-1210.4903
744DSP BlackRock FMP - 12 M - Series 26 - Dividend31-JAN-1210.4492
745DSP BlackRock FMP - 12 M - Series 26 - Growth31-JAN-1210.4492
746DSP BlackRock FMP - 13M - Series 4 - Dividend31-JAN-1210.1072
747DSP BlackRock FMP - 13M - Series 4 - Growth31-JAN-1210.8643
748DSP BlackRock FMP - 6M - Series 10 - Dividend31-JAN-1210.4383
749DSP BlackRock FMP - 6M - Series 10 - Growth31-JAN-1210.4383
750DSP BlackRock FMP - 6M - Series 11 - Dividend30-JAN-1210.4069
751DSP BlackRock FMP - 6M - Series 11 - Growth30-JAN-1210.4069
752DSP BlackRock FMP - Series 10 - 12 M - Dividend31-JAN-1210.3142
753DSP BlackRock FMP - Series 10 - 12 M - Growth31-JAN-1210.3142
754DSP BlackRock FMP - Series 12 - 12 M - Dividend31-JAN-1210.3000
755DSP BlackRock FMP - Series 12 - 12 M - Growth31-JAN-1210.3000
756DSP BlackRock FMP - Series 14 - 12 M - Dividend31-JAN-1210.2484
757DSP BlackRock FMP - Series 14 - 12 M - Growth31-JAN-1210.2484
758DSP BlackRock FMP - Series 16 - 12 M - Dividend31-JAN-1210.2326
759DSP BlackRock FMP - Series 16 - 12 M - Growth31-JAN-1210.2326
760DSP BlackRock FMP - Series 18 - 12 M - Dividend31-JAN-1210.1894
761DSP BlackRock FMP - Series 18 - 12 M - Growth31-JAN-1210.1894
762DSP BlackRock FMP - Series 19 - 3M - Dividend31-JAN-1210.1944
763DSP BlackRock FMP - Series 19 - 3M - Growth31-JAN-1210.1944
764DSP BlackRock FMP - Series 20 - 12 M - Dividend31-JAN-1210.1547
765DSP BlackRock FMP - Series 20 - 12 M - Growth31-JAN-1210.1547
766DSP BlackRock FMP - Series 21 - 3M - Dividend31-JAN-1210.1741
767DSP BlackRock FMP - Series 21 - 3M - Growth31-JAN-1210.1741
768DSP BlackRock FMP - Series 22 - 3M - Dividend31-JAN-1210.1397
769DSP BlackRock FMP - Series 22 - 3M - Growth31-JAN-1210.1397
770DSP BlackRock FMP - Series 23 - 12 M - Dividend31-JAN-1210.1053
771DSP BlackRock FMP - Series 23 - 12 M - Growth31-JAN-1210.1053
772DSP BlackRock FMP - Series 24 - 12 M - Dividend31-JAN-1210.0862
773DSP BlackRock FMP - Series 24 - 12 M - Growth31-JAN-1210.0862
774DSP BlackRock FMP - Series 25 - 3M - Dividend31-JAN-1210.1095
775DSP BlackRock FMP - Series 25 - 3M - Growth31-JAN-1210.1095
776DSP BlackRock FMP - Series 26 - 3M - Dividend31-JAN-1210.0955
777DSP BlackRock FMP - Series 26 - 3M - Growth31-JAN-1210.0955
778DSP BlackRock FMP - Series 27 - 12 M - Dividend31-JAN-1210.0413
779DSP BlackRock FMP - Series 27 - 12 M - Growth31-JAN-1210.0413
780DSP BlackRock FMP - Series 29 - 3M - Dividend31-JAN-1210.0544
781DSP BlackRock FMP - Series 29 - 3M - Growth31-JAN-1210.0544
782DSP BlackRock FMP - Series 30 - 3M - Dividend31-JAN-1210.0347
783DSP BlackRock FMP - Series 30 - 3M - Growth31-JAN-1210.0347
784DSP BlackRock FMP - Series 6 - 12 M - Dividend31-JAN-1210.3994
785DSP BlackRock FMP - Series 6 - 12 M - Growth31-JAN-1210.3994
786DSP BlackRock FMP - Series 7 - 12 M - Dividend31-JAN-1210.3518
787DSP BlackRock FMP - Series 7 - 12 M - Growth31-JAN-1210.3518
788DSP BlackRock FTP - Series 1 - 24 M - Dividend31-JAN-1210.2496
789DSP BlackRock FTP - Series 1 - 24 M - Growth31-JAN-1210.2496
790DSP BlackRock FTP - Series 2 - 24 M - Dividend31-JAN-1210.1952
791DSP BlackRock FTP - Series 2 - 24 M - Growth31-JAN-1210.1952
792DSP BlackRock FTP - Series 3 - 24 M - Dividend31-JAN-1210.1446
793DSP BlackRock FTP - Series 3 - 24 M - Growth31-JAN-1210.1446
794DSP BlackRock FTP - Series 4 - 36 M - Dividend31-JAN-1210.1178
795DSP BlackRock FTP - Series 4 - 36 M - Growth31-JAN-1210.1178
796DSP BlackRock FTP - Series 5 - 18 M - Dividend31-JAN-1210.0550
797DSP BlackRock FTP - Series 5 - 18 M - Growth31-JAN-1210.0550
798DSP BlackRock FTP - Series 6 - 24 M - Dividend31-JAN-1210.0159
799DSP BlackRock FTP - Series 6 - 24 M - Growth31-JAN-1210.0159
800DSP BlackRock Floating Rate Fund - Daily Dividend31-JAN-1210.0312
801DSP BlackRock Floating Rate Fund - Institutional Plan - Daily Dividend31-JAN-121000.6605
802DSP BlackRock Floating Rate Fund - Institutional Plan - Dividend31-JAN-121026.5887
803DSP BlackRock Floating Rate Fund - Institutional Plan - Growth31-JAN-121515.8124
804DSP BlackRock Floating Rate Fund - Institutional Plan - Weekly Dividend31-JAN-121001.3816
805DSP BlackRock Floating Rate Fund - Plan A- Growth31-JAN-1216.8296
806DSP BlackRock Floating Rate Fund - Plan B- Dividend31-JAN-1210.7869
807DSP BlackRock Floating Rate Fund - Weekly Dividend31-JAN-1210.0425
808DSP BlackRock Focus 25 Fund - Dividend31-JAN-12 9.7200
809DSP BlackRock Focus 25 Fund - Growth31-JAN-12 9.7200
810DSP BlackRock Government Securities Fund - Dividend31-JAN-1211.7652
811DSP BlackRock Government Securities Fund - Growth31-JAN-1235.0035
812DSP BlackRock Government Securities Fund - Monthly Dividend31-JAN-1210.5889
813DSP BlackRock India Tiger Fund - Dividend31-JAN-1215.1900
814DSP BlackRock India Tiger Fund - Growth31-JAN-1239.5730
815DSP BlackRock India Tiger Fund - Institutional - Dividend31-JAN-12 8.1160
816DSP BlackRock India Tiger Fund - Institutional - Growth31-JAN-1211.3930
817DSP BlackRock Liquidity Fund - Institutional - Daily Dividend31-JAN-121000.3161
818DSP BlackRock Liquidity Fund - Institutional - Growth31-JAN-121511.2655
819DSP BlackRock Liquidity Fund - Institutional - Weekly Dividend31-JAN-121001.4823
820DSP BlackRock Liquidity Fund - Regular - Daily Dividend31-JAN-1210.0100
821DSP BlackRock Liquidity Fund - Regular - Growth31-JAN-1225.0071
822DSP BlackRock Liquidity Fund - Regular - Weekly Dividend31-JAN-1212.4260
823DSP BlackRock MIP Fund - Growth31-JAN-1220.3568
824DSP BlackRock MIP Fund - Monthly Dividend31-JAN-1211.0161
825DSP BlackRock MIP Fund - Quarterly Dividend31-JAN-1211.7277
826DSP BlackRock Micro Cap Fund - Regular - Dividend31-JAN-12 8.5470
827DSP BlackRock Micro Cap Fund - Regular - Growth31-JAN-1214.0750
828DSP BlackRock Money Manager Fund - Daily Dividend31-JAN-121002.2851
829DSP BlackRock Money Manager Fund - Dividend28-NOV-071001.4599
830DSP BlackRock Money Manager Fund - Growth31-JAN-121442.0650
831DSP BlackRock Money Manager Fund - Institutional Daily Dividend31-JAN-121000.8000
832DSP BlackRock Money Manager Fund - Institutional Growth31-JAN-121468.8386
833DSP BlackRock Money Manager Fund - Institutional Weekly Dividend31-JAN-121001.7752
834DSP BlackRock Money Manager Fund - Weekly Dividend31-JAN-121001.7095
835DSP BlackRock Natural Resources and New Energy Fund - Institutional - Growth25-AUG-0911.1580
836DSP BlackRock Natural Resources and New Energy Fund - Regular - Dividend31-JAN-1211.8840
837DSP BlackRock Natural Resources and New Energy Fund - Regular - Growth31-JAN-1213.3020
838DSP BlackRock Opportunities Fund - Dividend31-JAN-1224.9080
839DSP BlackRock Opportunities Fund - Growth31-JAN-1276.7200
840DSP BlackRock Opportunities Fund - Institutional - Dividend07-OCT-1011.7000
841DSP BlackRock Opportunities Fund - Institutional - Growth20-AUG-1010.6650
842DSP BlackRock Short Term Plan - Dividend31-JAN-1211.0576
843DSP BlackRock Short Term Plan - Growth31-JAN-1217.9970
844DSP BlackRock Short Term Plan - Monthly Dividend31-JAN-1210.8407
845DSP BlackRock Short Term Plan - Weekly31-JAN-1210.1894
846DSP BlackRock Small and Mid Cap Fund - Dividend31-JAN-1213.2350
847DSP BlackRock Small and Mid Cap Fund - Growth31-JAN-1215.7630
848DSP BlackRock Small and Mid Cap Fund - Institutional Dividend24-SEP-0712.2930
849DSP BlackRock Small and Mid Cap Fund - Institutional Growth03-SEP-1010.6490
850DSP BlackRock Strategic Bond Fund - Institutional - Daily Dividend31-JAN-121003.7259
851DSP BlackRock Strategic Bond Fund - Institutional - Dividend Option31-JAN-121032.7542
852DSP BlackRock Strategic Bond Fund - Institutional - Growth Option31-JAN-121225.0748
853DSP BlackRock Strategic Bond Fund - Institutional - Monthly Dividend Option31-JAN-121033.7251
854DSP BlackRock Strategic Bond Fund - Institutional - Weekly Dividend Option31-JAN-121004.5961
855DSP BlackRock Strategic Bond Fund - Regular - Daily Dividend31-JAN-121003.8135
856DSP BlackRock Strategic Bond Fund - Regular - Dividend Option31-JAN-121051.3392
857DSP BlackRock Strategic Bond Fund - Regular - Growth Option31-JAN-121338.8612
858DSP BlackRock Strategic Bond Fund - Regular - Monthly Dividend31-JAN-121031.3674
859DSP BlackRock Strategic Bond Fund - Regular - Weekly Dividend Option31-JAN-121005.3501
860DSP BlackRock Tax Saver Fund - Dividend31-JAN-1210.7030
861DSP BlackRock Tax Saver Fund - Growth31-JAN-1215.0000
862DSP BlackRock Technology.com Fund - Dividend31-JAN-1220.6820
863DSP BlackRock Technology.com Fund - Growth31-JAN-1228.2890
864DSP BlackRock Top 100 Equity Fund - Dividend31-JAN-1220.5560
865DSP BlackRock Top 100 Equity Fund - Growth31-JAN-1296.8890
866DSP BlackRock Top 100 Equity Fund - Institutional Plan - Dividend31-JAN-1213.3440
867DSP BlackRock Top 100 Equity Fund - Institutional Plan - Growth31-JAN-1213.3440
868DSP BlackRock Treasury Bill Fund - Dividend31-JAN-1211.3245
869DSP BlackRock Treasury Bill Fund - Growth31-JAN-1221.6414
870DSP BlackRock Treasury Bill Fund - Monthly Dividend31-JAN-1210.2017
871DSP BlackRock World Agriculture Fund - Dividend31-JAN-1210.8891
872DSP BlackRock World Agriculture Fund - Growth31-JAN-1210.8891
873DSP BlackRock World Energy Fund - Institutional - Dividend17-SEP-0910.9048
874DSP BlackRock World Energy Fund - Institutional - Growth18-JAN-1111.9423
875DSP BlackRock World Energy Fund - Regular - Dividend31-JAN-1211.4484
876DSP BlackRock World Energy Fund - Regular - Growth31-JAN-1211.4484
877DSP BlackRock World Gold Fund - Dividend31-JAN-1216.0099
878DSP BlackRock World Gold Fund - Growth31-JAN-1219.5514
879DSP BlackRock World Gold Fund - Institutional - Growth27-JUL-10 9.8047
880DSP BlackRock World Mining Fund - Institutional - Dividend18-MAR-1010.3182
881DSP BlackRock World Mining Fund - Institutional - Growth07-APR-1010.6340
882DSP BlackRock World Mining Fund - Regular - Dividend31-JAN-1211.3561
883DSP BlackRock World Mining Fund - Regular - Growth31-JAN-1211.3561
884DWS Alpha Equity Fund - Regular - Bonus31-JAN-12 9.2800
885DWS Alpha Equity Fund - Regular - Dividend31-JAN-1214.9800
886DWS Alpha Equity Fund - Regular - Growth31-JAN-1268.8400
887DWS Alpha Equity Fund - Wealth Plan - Dividend31-JAN-1211.9900
888DWS Alpha Equity Fund - Wealth Plan - Growth31-JAN-1214.3300
889DWS Cash Opportunities Fund - Institutional Plan - Daily Dividend31-JAN-1210.0243
890DWS Cash Opportunities Fund - Institutional Plan - Dividend31-JAN-1210.4934
891DWS Cash Opportunities Fund - Institutional Plan - Fortnightly Dividend28-MAR-1110.1059
892DWS Cash Opportunities Fund - Institutional Plan - Growth31-JAN-1213.5753
893DWS Cash Opportunities Fund - Institutional Plan - Weekly Dividend31-JAN-1210.0838
894DWS Cash Opportunities Fund - Regular Plan - Bonus31-JAN-1210.8389
895DWS Cash Opportunities Fund - Regular Plan - Daily Dividend31-JAN-1210.0271
896DWS Cash Opportunities Fund - Regular Plan - Dividend31-JAN-1210.3403
897DWS Cash Opportunities Fund - Regular Plan - Fortnightly Dividend31-JAN-1210.1489
898DWS Cash Opportunities Fund - Regular Plan - Growth31-JAN-1214.0282
899DWS Cash Opportunities Fund - Regular Plan - Quarterly Dividend31-JAN-1210.1190
900DWS Cash Opportunities Fund - Regular Plan - Weekly Dividend31-JAN-1210.1097
901DWS Fixed Maturity Plan - Series 1 - Dividend01-FEB-1210.0245
902DWS Fixed Maturity Plan - Series 1 - Growth01-FEB-1210.0245
903DWS Fixed Term Fund - Series 78 - Dividend01-FEB-1210.4697
904DWS Fixed Term Fund - Series 78 - Growth01-FEB-1210.9318
905DWS Fixed Term Fund - Series 80 - Dividend01-FEB-1210.2504
906DWS Fixed Term Fund - Series 80 - Growth01-FEB-1210.7137
907DWS Fixed Term Fund - Series 81 - Dividend01-FEB-1210.5091
908DWS Fixed Term Fund - Series 81 - Growth01-FEB-1210.9727
909DWS Fixed Term Fund - Series 82 - Dividend01-FEB-1210.6736
910DWS Fixed Term Fund - Series 82 - Growth01-FEB-1210.6736
911DWS Fixed Term Fund - Series 83 - Dividend01-FEB-1210.3098
912DWS Fixed Term Fund - Series 83 - Growth01-FEB-1210.6151
913DWS Fixed Term Fund - Series 85 - Dividend01-FEB-1210.2590
914DWS Fixed Term Fund - Series 85 - Growth01-FEB-1210.5645
915DWS Fixed Term Fund - Series 86 - Dividend01-FEB-1210.5048
916DWS Fixed Term Fund - Series 86 - Growth01-FEB-1210.5048
917DWS Fixed Term Fund - Series 87 - Dividend27-JAN-1210.1960
918DWS Fixed Term Fund - Series 87 - Growth30-JAN-1210.4581
919DWS Fixed Term Fund - Series 88 - Dividend01-FEB-1210.3640
920DWS Fixed Term Fund - Series 88 - Growth30-JAN-1210.3630
921DWS Fixed Term Fund - Series 89 - Dividend01-FEB-1210.1918
922DWS Fixed Term Fund - Series 89 - Growth01-FEB-1210.3428
923DWS Fixed Term Fund - Series 90 - Dividend01-FEB-1210.3038
924DWS Fixed Term Fund - Series 90 - Growth01-FEB-1210.3038
925DWS Fixed Term Fund - Series 91 - Dividend31-JAN-1210.2273
926DWS Fixed Term Fund - Series 91 - Growth31-JAN-1210.3284
927DWS Fixed Term Fund - Series 92 - Dividend01-FEB-1210.1913
928DWS Fixed Term Fund - Series 92 - Growth01-FEB-1210.1913
929DWS Fixed Term Fund - Series 93 - Dividend01-FEB-1210.1590
930DWS Fixed Term Fund - Series 93 - Growth01-FEB-1210.1590
931DWS Fixed Term Fund - Series 94 - Dividend01-FEB-1210.1098
932DWS Fixed Term Fund - Series 94 - Growth01-FEB-1210.1098
933DWS Fixed Term Fund - Series 95 - Dividend01-FEB-1210.0914
934DWS Fixed Term Fund - Series 95 - Growth01-FEB-1210.0914
935DWS Gilt Fund - Institutional - Dividend31-JAN-1210.3393
936DWS Gilt Fund - Institutional - Growth10-JAN-1110.2832
937DWS Gilt Fund - Regular - Dividend31-JAN-1211.4971
938DWS Gilt Fund - Regular - Growth31-JAN-1211.7524
939DWS Global Agribusiness Offshore Fund - Regular Plan - Bonus31-JAN-12 9.7000
940DWS Global Agribusiness Offshore Fund - Regular Plan - Dividend31-JAN-1211.6000
941DWS Global Agribusiness Offshore Fund - Regular Plan - Growth31-JAN-1211.6000
942DWS Global Thematic Offshore Fund - Dividend31-JAN-12 8.5600
943DWS Global Thematic Offshore Fund - Growth25-JAN-12 8.5900
944DWS Hybrid Fixed Term Fund - Series 1 - Dividend01-FEB-1210.0739
945DWS Hybrid Fixed Term Fund - Series 1 - Growth31-JAN-1210.0680
946DWS Hybrid Fixed Term Fund - Series 2 - Dividend30-JAN-1210.0477
947DWS Hybrid Fixed Term Fund - Series 2 - Growth31-JAN-1210.2614
948DWS Hybrid Fixed Term Fund - Series 3 - Dividend30-JAN-1210.8949
949DWS Hybrid Fixed Term Fund - Series 3 - Growth30-JAN-1210.8949
950DWS Insta Cash Plus Fund - Daily Dividend31-JAN-1210.3010
951DWS Insta Cash Plus Fund - Dividend31-JAN-1210.0921
952DWS Insta Cash Plus Fund - Growth31-JAN-1217.5414
953DWS Insta Cash Plus Fund - Institutional - Daily Dividend31-JAN-1210.0516
954DWS Insta Cash Plus Fund - Institutional - Growth31-JAN-1216.5774
955DWS Insta Cash Plus Fund - Institutional - Monthly Dividend31-JAN-1210.4102
956DWS Insta Cash Plus Fund - Institutional - Weekly Dividend31-JAN-1210.3948
957DWS Insta Cash Plus Fund - Regular - Weekly Bonus Option31-JAN-1210.7577
958DWS Insta Cash Plus Fund - Super Institutional - Daily Dividend31-JAN-12100.3040
959DWS Insta Cash Plus Fund - Super Institutional - Growth31-JAN-12137.1922
960DWS Insta Cash Plus Fund - Super Institutional - Monthly Dividend02-OCT-11100.0000
961DWS Insta Cash Plus Fund - Super Institutional - Weekly Dividend06-APR-11100.2390
962DWS Insta Cash Plus Fund - Weekly Dividend31-JAN-1210.3620
963DWS Investment Opportunity Fund - Regular - Bonus31-JAN-12 9.2800
964DWS Investment Opportunity Fund - Regular - Dividend31-JAN-1222.4200
965DWS Investment Opportunity Fund - Regular - Growth31-JAN-1232.3600
966DWS Investment Opportunity Fund - Wealth Plan - Dividend31-JAN-1211.2100
967DWS Investment Opportunity Fund - Wealth Plan - Growth31-JAN-1214.6400
968DWS Money Plus Advantage Fund - Institutional - Dividend04-FEB-1110.4064
969DWS Money Plus Advantage Fund - Institutional - Growth16-MAY-1111.1558
970DWS Money Plus Advantage Fund - Regular - Dividend31-JAN-1210.4459
971DWS Money Plus Advantage Fund - Regular - Growth31-JAN-1213.6098
972DWS Money Plus Fund - Institutional - Daily Dividend31-JAN-1210.0790
973DWS Money Plus Fund - Institutional - Growth31-JAN-1211.1256
974DWS Money Plus Fund - Institutional - Monthly Dividend31-JAN-1210.7176
975DWS Money Plus Fund - Institutional - Weekly Dividend05-MAY-1110.0617
976DWS Money Plus Fund - Regular - Bonus31-JAN-1212.0108
977DWS Money Plus Fund - Regular - Daily Dividend31-JAN-1210.0645
978DWS Money Plus Fund - Regular - Growth31-JAN-1214.6825
979DWS Money Plus Fund - Regular - Monthly Dividend31-JAN-1210.2305
980DWS Money Plus Fund - Regular - Quarterly Dividend31-JAN-1210.0924
981DWS Money Plus Fund - Regular - Weekly Dividend31-JAN-1210.1648
982DWS Premier Bond Fund - Auto Sweep Plan08-MAR-1010.6795
983DWS Premier Bond Fund - Institutional Plan - Annual Dividend23-SEP-0410.4231
984DWS Premier Bond Fund - Institutional Plan - Growth17-FEB-1111.4168
985DWS Premier Bond Fund - Institutional Plan - Monthly Dividend15-NOV-1110.2241
986DWS Premier Bond Fund - Institutional Plan - Quarterly Dividend27-MAY-09 9.9383
987DWS Premier Bond Fund - Regular Plan - Annual Dividend31-JAN-1213.3665
988DWS Premier Bond Fund - Regular Plan - Bonus31-JAN-1210.6486
989DWS Premier Bond Fund - Regular Plan - Growth31-JAN-1217.6257
990DWS Premier Bond Fund - Regular Plan - Monthly Dividend31-JAN-1212.6034
991DWS Premier Bond Fund - Regular Plan - Quarterly Dividend31-JAN-1211.6912
992DWS Quarterly Interval Fund - Series 1 - Bonus28-JAN-0910.3621
993DWS Quarterly Interval Fund - Series 1 - Dividend01-APR-0910.0317
994DWS Quarterly Interval Fund - Series 1 - Growth Option01-APR-0911.7176
995DWS Short Maturity Fund - Annual Dividend31-JAN-1210.0999
996DWS Short Maturity Fund - Bonus31-JAN-1210.8407
997DWS Short Maturity Fund - Dividend31-JAN-1211.6214
998DWS Short Maturity Fund - Growth31-JAN-1218.8367
999DWS Short Maturity Fund - Institutional - Growth31-JAN-1212.6283
1000DWS Short Maturity Fund - Institutional - Monthly Dividend31-JAN-1210.0465
1001DWS Short Maturity Fund - Institutional - Weekly Dividend31-JAN-1210.4125
1002DWS Short Maturity Fund - Premium Plus Plan - Growth31-JAN-1210.9270
1003DWS Short Maturity Fund - Premium Plus Plan - Monthly Dividend31-JAN-1210.2599
1004DWS Short Maturity Fund - Premium Plus Plan - Quarterly Dividend31-JAN-1210.2860
1005DWS Short Maturity Fund - Premium Plus Plan - Weekly Dividend31-JAN-1210.3710
1006DWS Short Maturity Fund - Quarterly Dividend31-JAN-1210.1054
1007DWS Short Maturity Fund - Weekly Dividend31-JAN-1210.2373
1008DWS Tax Saving Fund - Dividend31-JAN-1211.0773
1009DWS Tax Saving Fund - Growth31-JAN-1211.8489
1010DWS Treasury Fund - Cash Plan - Institutional - Daily Dividend31-JAN-12100.4970
1011DWS Treasury Fund - Cash Plan - Institutional - Growth31-JAN-12117.8422
1012DWS Treasury Fund - Cash Plan - Institutional - Monthly Dividend31-JAN-12101.0970
1013DWS Treasury Fund - Cash Plan - Institutional - Weekly Dividend31-JAN-12100.8098
1014DWS Treasury Fund - Cash Plan - Regular - Annual Dividend31-JAN-1210.0971
1015DWS Treasury Fund - Cash Plan - Regular - Bonus31-JAN-1210.6805
1016DWS Treasury Fund - Cash Plan - Regular - Daily Dividend31-JAN-1210.0391
1017DWS Treasury Fund - Cash Plan - Regular - Growth31-JAN-1211.5347
1018DWS Treasury Fund - Cash Plan - Regular - Monthly Dividend31-JAN-1210.1324
1019DWS Treasury Fund - Cash Plan - Regular - Quarterly Dividend31-JAN-1210.0976
1020DWS Treasury Fund - Cash Plan - Regular - Weekly Dividend31-JAN-1210.1118
1021DWS Treasury Fund - Investment Plan - Institutional - Daily Dividend31-JAN-1210.0417
1022DWS Treasury Fund - Investment Plan - Institutional - Growth31-JAN-1211.8560
1023DWS Treasury Fund - Investment Plan - Institutional - Monthly Dividend12-SEP-1110.1807
1024DWS Treasury Fund - Investment Plan - Institutional - Weekly Dividend31-JAN-1210.0727
1025DWS Treasury Fund - Investment Plan - Regular - Bonus31-JAN-1210.7502
1026DWS Treasury Fund - Investment Plan - Regular - Daily Dividend31-JAN-1210.2220
1027DWS Treasury Fund - Investment Plan - Regular - Growth31-JAN-1211.6574
1028DWS Treasury Fund - Investment Plan - Regular - Monthly Dividend31-JAN-1210.1589
1029DWS Treasury Fund - Investment Plan - Regular - Weekly Dividend31-JAN-1210.0831
1030DWS Twin Advantage Fund - Annual Dividend31-JAN-1211.7760
1031DWS Twin Advantage Fund - Growth31-JAN-1217.1411
1032DWS Twin Advantage Fund - Monthly Dividend31-JAN-1210.5063
1033DWS Twin Advantage Fund - Quarterly Dividend31-JAN-1210.2949
1034DWS Ultra Short Term Fund - Annual Dividend31-JAN-1210.1161
1035DWS Ultra Short Term Fund - Daily Dividend31-JAN-1210.0215
1036DWS Ultra Short Term Fund - Growth31-JAN-1217.1027
1037DWS Ultra Short Term Fund - Institutional - Daily Dividend31-JAN-1210.0179
1038DWS Ultra Short Term Fund - Institutional - Dividend20-JAN-1210.0026
1039DWS Ultra Short Term Fund - Institutional - Growth31-JAN-1212.4841
1040DWS Ultra Short Term Fund - Institutional - Monthly Dividend31-JAN-1210.0994
1041DWS Ultra Short Term Fund - Institutional - Weekly Dividend31-JAN-1210.0865
1042DWS Ultra Short Term Fund - Monthly Dividend31-JAN-1210.4014
1043DWS Ultra Short Term Fund - Premium Plus Plan - Annual Dividend31-JAN-1210.0951
1044DWS Ultra Short Term Fund - Premium Plus Plan - Daily Dividend16-DEC-1110.1250
1045DWS Ultra Short Term Fund - Premium Plus Plan - Monthly Dividend14-NOV-1110.0132
1046DWS Ultra Short Term Fund - Quarterly Dividend31-JAN-1210.1161
1047DWS Ultra Short Term Fund - Regular - Bonus31-JAN-1210.2701
1048DWS Ultra Short Term Fund - Weekly Dividend31-JAN-1210.5101
1049Daiwa Fixed Maturity Plan - Series 1 - Plan A - Dividend01-FEB-1210.1431
1050Daiwa Fixed Maturity Plan - Series 1 - Plan A - Growth01-FEB-1210.1431
1051Daiwa Government Securities Fund - Short Term Plan - Growth31-JAN-121063.6632
1052Daiwa Government Securities Fund - Short Term Plan - Quarterly Dividend31-JAN-121012.4263
1053Daiwa Industry Leaders Fund - Dividend31-JAN-1210.5900
1054Daiwa Industry Leaders Fund - Growth31-JAN-1210.5900
1055Daiwa Liquid Fund - Institutional Plan - Daily Dividend31-JAN-121000.5197
1056Daiwa Liquid Fund - Institutional Plan - Growth31-JAN-121181.9722
1057Daiwa Liquid Fund - Institutional Plan - Weekly Dividend31-JAN-121000.0000
1058Daiwa Liquid Fund - Retail Plan - Daily Dividend31-JAN-121000.5200
1059Daiwa Liquid Fund - Retail Plan - Growth31-JAN-121179.5196
1060Daiwa Liquid Fund - Retail Plan - Weekly Dividend31-JAN-121000.7803
1061Daiwa Treasury Advantage Fund - Daily Dividend31-JAN-121000.1084
1062Daiwa Treasury Advantage Fund - Growth31-JAN-121170.7041
1063Daiwa Treasury Advantage Fund - Monthly Dividend31-JAN-121001.6096
1064Daiwa Treasury Advantage Fund - Weekly Dividend31-JAN-121000.3516
1065Edelweiss Absolute Return Fund - Dividend31-JAN-1210.7400
1066Edelweiss Absolute Return Fund - Growth31-JAN-1211.6500
1067Edelweiss Diversified Growth Equity Top 100 (E.D.G.E.Top 100) Fund - Plan A - Dividend31-JAN-1211.8100
1068Edelweiss Diversified Growth Equity Top 100 (E.D.G.E.Top 100) Fund - Plan A - Growth31-JAN-1213.7400
1069Edelweiss Diversified Growth Equity Top 100 (E.D.G.E.Top 100) Fund - Plan B - Dividend31-JAN-1213.9800
1070Edelweiss Diversified Growth Equity Top 100 (E.D.G.E.Top 100) Fund - Plan B - Growth31-JAN-1213.8100
1071Edelweiss Diversified Growth Equity Top 100 (E.D.G.E.Top 100) Fund - Plan C - Dividend31-JAN-1211.9100
1072Edelweiss Diversified Growth Equity Top 100 (E.D.G.E.Top 100) Fund - Plan C - Growth31-JAN-1213.6300
1073Edelweiss ELSS Fund - Dividend31-JAN-1212.5000
1074Edelweiss ELSS Fund - Growth31-JAN-1218.2300
1075Edelweiss Equity Enhancer Fund - Plan A - Dividend31-JAN-1210.7700
1076Edelweiss Equity Enhancer Fund - Plan A - Growth31-JAN-1211.8100
1077Edelweiss Equity Enhancer Fund - Plan B - Dividend31-JAN-1211.8800
1078Edelweiss Equity Enhancer Fund - Plan B - Growth31-JAN-1211.6500
1079Edelweiss Equity Enhancer Fund - Plan C - Dividend13-MAY-1111.2900
1080Edelweiss Equity Enhancer Fund - Plan C - Growth31-JAN-1210.1700
1081Edelweiss Fixed Maturity Plan 91 Days - Series 4 - Dividend31-JAN-1210.1199
1082Edelweiss Fixed Maturity Plan 91 Days - Series 4 - Growth31-JAN-1210.1199
1083Edelweiss Gilt Fund - Dividend31-JAN-1211.1001
1084Edelweiss Gilt Fund - Growth31-JAN-1211.1001
1085Edelweiss Liquid Fund - Institutional - Daily Dividend31-JAN-1210.0001
1086Edelweiss Liquid Fund - Institutional - Growth31-JAN-1210.8952
1087Edelweiss Liquid Fund - Institutional - Weekly Dividend31-JAN-1210.0080
1088Edelweiss Liquid Fund - Retail - Daily Dividend31-JAN-1210.0001
1089Edelweiss Liquid Fund - Retail - Growth31-JAN-1212.1576
1090Edelweiss Liquid Fund - Retail - Monthly Dividend31-JAN-1210.0721
1091Edelweiss Liquid Fund - Retail - Weekly Dividend31-JAN-1210.0072
1092Edelweiss Liquid Fund - Super Institutional - Daily Dividend05-JAN-1210.0001
1093Edelweiss Liquid Fund - Super Institutional - Growth31-JAN-1210.4401
1094Edelweiss Liquid Fund - Super Institutional - Monthly Dividend18-SEP-0810.0029
1095Edelweiss Liquid Fund - Super Institutional - Weekly Dividend27-DEC-1110.0077
1096Edelweiss Monthly Income Plan - Growth31-JAN-1211.1096
1097Edelweiss Monthly Income Plan - Monthly Dividend31-JAN-1210.3979
1098Edelweiss Select Midcap Fund - Dividend31-JAN-12 9.7500
1099Edelweiss Select Midcap Fund - Growth31-JAN-12 9.7500
1100Edelweiss Short Term Income Fund - Institutional - Dividend31-JAN-1210.6307
1101Edelweiss Short Term Income Fund - Institutional - Growth30-JAN-1212.0605
1102Edelweiss Short Term Income Fund - Retail - Dividend31-JAN-1210.6643
1103Edelweiss Short Term Income Fund - Retail - Growth31-JAN-1212.5026
1104Edelweiss Ultra Short Term Bond Fund - Institutional - Daily Dividend31-JAN-1210.0002
1105Edelweiss Ultra Short Term Bond Fund - Institutional - Growth31-JAN-1212.7210
1106Edelweiss Ultra Short Term Bond Fund - Institutional - Monthly Dividend02-MAY-1110.2231
1107Edelweiss Ultra Short Term Bond Fund - Institutional - Weekly Dividend25-JUL-1110.0000
1108Edelweiss Ultra Short Term Bond Fund - Retail - Daily Dividend31-JAN-1210.0000
1109Edelweiss Ultra Short Term Bond Fund - Retail - Fortnightly Dividend04-MAY-1110.0206
1110Edelweiss Ultra Short Term Bond Fund - Retail - Growth31-JAN-1212.6122
1111Edelweiss Ultra Short Term Bond Fund - Retail - Monthly Dividend31-JAN-1210.0848
1112Edelweiss Ultra Short Term Bond Fund - Retail - Weekly Dividend31-JAN-1210.0022
1113Escorts Balanced Fund -Dividend31-JAN-1211.0989
1114Escorts Balanced Fund -Growth31-JAN-1259.1968
1115Escorts FMP - Series - II - 375 Days - Dividend31-JAN-1210.9035
1116Escorts FMP - Series - II - 375 Days - Growth31-JAN-1210.9035
1117Escorts Gilt Fund-Dividend31-JAN-1220.8518
1118Escorts Gilt Fund-Growth31-JAN-1222.7652
1119Escorts Growth Plan -Dividend31-JAN-12 9.6539
1120Escorts Growth Plan -Growth31-JAN-1262.3931
1121Escorts High Yield Equity Plan - Bonus31-JAN-1213.0439
1122Escorts High Yield Equity Plan - Dividend31-JAN-1210.0384
1123Escorts High Yield Equity Plan - Growth31-JAN-1213.0052
1124Escorts Income Bond - Dividend31-JAN-1230.7727
1125Escorts Income Bond - Growth31-JAN-1231.5621
1126Escorts Income Plan - Bonus31-JAN-1218.2963
1127Escorts Income Plan - Dividend31-JAN-1211.5977
1128Escorts Income Plan - Growth31-JAN-1234.7466
1129Escorts Infrastructure Fund - Dividend31-JAN-12 5.6142
1130Escorts Infrastructure Fund - Growth31-JAN-12 5.6110
1131Escorts Leading Sectors Fund - Dividend31-JAN-12 9.6683
1132Escorts Leading Sectors Fund - Growth31-JAN-12 9.6683
1133Escorts Liquid Plan - Daily Dividend Option31-JAN-1213.5930
1134Escorts Liquid Plan - Growth Option31-JAN-1216.1579
1135Escorts Liquid Plan - Monthly Dividend Option31-JAN-1214.9677
1136Escorts Liquid Plan - Weekly Dividend Option31-JAN-1213.1854
1137Escorts Opportunities Fund-Dividend31-JAN-12 9.7438
1138Escorts Opportunities Fund-Growth31-JAN-1227.5266
1139Escorts Power and Energy Fund - Dividend31-JAN-12 8.1451
1140Escorts Power and Energy Fund - Growth27-JAN-1211.4568
1141Escorts Short Term Debt Fund - Dividend31-JAN-1214.5556
1142Escorts Short Term Debt Fund - Growth31-JAN-1215.7467
1143Escorts Tax Plan-Dividend31-JAN-12 8.0841
1144Escorts Tax Plan-Growth31-JAN-1237.5986
1145FT India Balanced Fund - Dividend31-JAN-1217.3646
1146FT India Balanced Fund - Growth31-JAN-1247.4366
1147FT India Dynamic PE Ratio Fund of Funds - Dividend31-JAN-1232.2747
1148FT India Dynamic PE Ratio Fund of Funds - Growth31-JAN-1240.8014
1149FT India Life Stage Fund of Funds - 50s Plus Floating Rate Plan - Dividend31-JAN-1212.8161
1150FT India Life Stage Fund of Funds - 50s Plus Floating Rate Plan - Growth31-JAN-1220.3178
1151FT India Life Stage Fund of Funds The 20s Plan - Dividend31-JAN-1226.4275
1152FT India Life Stage Fund of Funds The 20s Plan - Growth31-JAN-1236.1055
1153FT India Life Stage Fund of Funds The 30s Plan - Dividend31-JAN-1221.5403
1154FT India Life Stage Fund of Funds The 30s Plan - Growth27-JAN-1228.3122
1155FT India Life Stage Fund of Funds The 40s Plan - Dividend31-JAN-1213.7213
1156FT India Life Stage Fund of Funds The 40s Plan - Growth31-JAN-1223.8113
1157FT India Life Stage Fund of Funds The 50s Plus Plan - Dividend27-JAN-1212.1516
1158FT India Life Stage Fund of Funds The 50s Plus Plan - Growth31-JAN-1219.4254
1159FT India Monthly Income Plan A - Bonus31-JAN-1210.9175
1160FT India Monthly Income Plan A - Growth31-JAN-1229.0573
1161FT India Monthly Income Plan A - Monthly Dividend31-JAN-1211.5613
1162FT India Monthly Income Plan A - Quarterly Dividend31-JAN-1211.4138
1163FT India Monthly Income Plan B - Bonus31-JAN-1210.9175
1164FT India Monthly Income Plan B - Growth31-JAN-1229.0573
1165FT India Monthly Income Plan B - Monthly Dividend31-JAN-1211.5613
1166FT India Monthly Income Plan B - Quarterly Dividend31-JAN-1211.4138
1167Fidelity Cash Fund - Institutional Plan - Daily Dividend31-JAN-1210.0025
1168Fidelity Cash Fund - Institutional Plan - Growth31-JAN-1214.2758
1169Fidelity Cash Fund - Institutional Plan - Monthly Dividend31-JAN-1210.0000
1170Fidelity Cash Fund - Institutional Plan - Weekly Dividend31-JAN-1210.1586
1171Fidelity Cash Fund - Retail Plan - Daily Dividend31-JAN-1210.0025
1172Fidelity Cash Fund - Retail Plan - Growth31-JAN-1213.9856
1173Fidelity Cash Fund - Retail Plan - Monthly Dividend31-JAN-1210.0171
1174Fidelity Cash Fund - Retail Plan - Weekly Dividend31-JAN-1210.0036
1175Fidelity Cash Fund - Super Institutional Plan - Daily Dividend31-JAN-1210.2330
1176Fidelity Cash Fund - Super Institutional Plan - Growth31-JAN-1214.3749
1177Fidelity Cash Fund - Super Institutional Plan - Monthly Dividend31-JAN-1210.0000
1178Fidelity Cash Fund - Super Institutional Plan - Weekly Dividend31-JAN-1210.0000
1179Fidelity Equity Fund - Dividend31-JAN-1218.7000
1180Fidelity Equity Fund - Growth31-JAN-1233.3760
1181Fidelity FMP - Series V - Plan A - Dividend31-JAN-1210.9249
1182Fidelity FMP - Series V - Plan A - Growth31-JAN-1210.9249
1183Fidelity FMP - Series V - Plan C - Dividend31-JAN-1210.9105
1184Fidelity FMP - Series V - Plan C - Growth31-JAN-1210.9105
1185Fidelity FMP - Series V - Plan E - Dividend31-JAN-1210.8580
1186Fidelity FMP - Series V - Plan E - Growth31-JAN-1210.8580
1187Fidelity FMP - Series V - Plan F - Dividend31-JAN-1210.7787
1188Fidelity FMP - Series V - Plan F - Growth31-JAN-1210.7787
1189Fidelity FMP - Series VI - Plan A - Dividend31-JAN-1210.1324
1190Fidelity FMP - Series VI - Plan A - Growth31-JAN-1210.1324
1191Fidelity FMP - Series VI - Plan B - Dividend31-JAN-1210.1503
1192Fidelity FMP - Series VI - Plan B - Growth31-JAN-1210.1503
1193Fidelity FMP - Series VI - Plan C - Dividend31-JAN-1210.0923
1194Fidelity FMP - Series VI - Plan C - Growth31-JAN-1210.0923
1195Fidelity FMP - Series VI - Plan D - Dividend31-JAN-1210.0122
1196Fidelity FMP - Series VI - Plan D - Growth31-JAN-1210.0122
1197Fidelity FMP - Series VI - Plan E - Dividend31-JAN-1210.0436
1198Fidelity FMP - Series VI - Plan E - Growth31-JAN-1210.0436
1199Fidelity FMP - Series VI - Plan F - Dividend31-JAN-1210.0240
1200Fidelity FMP - Series VI - Plan F - Growth31-JAN-1210.0240
1201Fidelity Flexi Bond Fund - Dividend31-JAN-1210.1401
1202Fidelity Flexi Bond Fund - Growth31-JAN-1213.8207
1203Fidelity Flexi Bond Fund - Institutional Plan - Dividend31-JAN-1210.0000
1204Fidelity Flexi Bond Fund - Institutional Plan - Growth31-JAN-1210.9856
1205Fidelity Flexi Gilt Fund - Dividend31-JAN-1210.3435
1206Fidelity Flexi Gilt Fund - Growth31-JAN-1212.5247
1207Fidelity Global Real Assets Fund - Dividend31-JAN-1212.8980
1208Fidelity Global Real Assets Fund - Growth31-JAN-1212.8980
1209Fidelity India Children`s Plan - Education Fund - Dividend31-JAN-12 9.5970
1210Fidelity India Children`s Plan - Education Fund - Growth31-JAN-12 9.5970
1211Fidelity India Children`s Plan - Marriage Fund - Dividend31-JAN-1210.0590
1212Fidelity India Children`s Plan - Marriage Fund - Growth31-JAN-1210.0590
1213Fidelity India Children`s Plan - Savings Fund - Dividend31-JAN-1210.7255
1214Fidelity India Children`s Plan - Savings Fund - Growth31-JAN-1210.7255
1215Fidelity India Growth Fund - Dividend31-JAN-1211.5940
1216Fidelity India Growth Fund - Growth31-JAN-1211.5940
1217Fidelity India Special Situations Fund - Dividend31-JAN-1215.6530
1218Fidelity India Special Situations Fund - Growth31-JAN-1217.2630
1219Fidelity India Value Fund - Dividend31-JAN-12 9.9540
1220Fidelity India Value Fund - Growth31-JAN-12 9.9540
1221Fidelity International Opportunities Fund - Dividend31-JAN-1212.8960
1222Fidelity International Opportunities Fund - Growth31-JAN-1212.8960
1223Fidelity Short Term Income Fund - Dividend31-JAN-1210.0437
1224Fidelity Short Term Income Fund - Growth31-JAN-1211.0286
1225Fidelity Tax Advantage Fund - Dividend Option31-JAN-1216.0280
1226Fidelity Tax Advantage Fund - Growth Option31-JAN-1220.4730
1227Fidelity Ultra Short Term Debt Fund - Institutional - Daily Dividend31-JAN-1210.0057
1228Fidelity Ultra Short Term Debt Fund - Institutional - Growth31-JAN-1213.1757
1229Fidelity Ultra Short Term Debt Fund - Institutional - Monthly Dividend31-JAN-1210.0133
1230Fidelity Ultra Short Term Debt Fund - Institutional - Weekly Dividend31-JAN-1210.0020
1231Fidelity Ultra Short Term Debt Fund - Retail - Growth31-JAN-1213.3724
1232Fidelity Ultra Short Term Debt Fund - Retail - Monthly Dividend31-JAN-1210.0128
1233Fidelity Ultra Short Term Debt Fund - Retail - Weekly Dividend31-JAN-1210.0011
1234Fidelity Ultra Short Term Debt Fund - Super Institutional - Daily Dividend31-JAN-1210.0497
1235Fidelity Ultra Short Term Debt Fund - Super Institutional - Growth31-JAN-1210.0000
1236Fidelity Ultra Short Term Debt Fund - Super Institutional - Monthly Dividend31-JAN-1210.0000
1237Fidelity Ultra Short Term Debt Fund - Super Institutional - Weekly Dividend31-JAN-1210.0013
1238Fidelity Wealth Builder Fund - Plan A - Growth31-JAN-1212.2491
1239Fidelity Wealth Builder Fund - Plan A - Quarterly Dividend31-JAN-1210.4853
1240Fidelity Wealth Builder Fund - Plan B - Growth31-JAN-1213.4162
1241Fidelity Wealth Builder Fund - Plan B - Quarterly Dividend31-JAN-1211.1048
1242Fidelity Wealth Builder Fund - Plan C - Dividend31-JAN-1211.7044
1243Fidelity Wealth Builder Fund - Plan C - Growth31-JAN-1215.0044
1244Fortis Flexible Short Term Plan - Series A - Regular - Calendar Quarterly Dividend - Compulsory Redemption09-FEB-0910.0000
1245Fortis Flexible Short Term Plan - Series A - Regular - Calendar Quarterly Dividend - Compulsory Renewal09-FEB-0910.0000
1246Fortis Flexible Short Term Plan - Series A - Regular - Growth - Compulsory Redemption09-FEB-0911.7471
1247Fortis Flexible Short Term Plan - Series A - Regular - Growth - Compulsory Renewal09-FEB-0911.7483
1248Fortis Flexible Short Term Plan - Series A - Regular - Monthly Dividend - Compulsory Redemption09-FEB-0910.0000
1249Fortis Flexible Short Term Plan - Series A - Regular - Monthly Dividend - Compulsory Renewal09-FEB-0910.0000
1250Fortis Flexible Short Term Plan - Series A - Regular - Quarterly Dividend - Compulsory Redemption09-FEB-0910.0000
1251Fortis Flexible Short Term Plan - Series A - Regular - Quarterly Dividend - Compulsory Renewal09-FEB-0910.0000
1252Fortis Flexible Short Term Plan - Series B - Regular - Growth - Compulsory Redemption24-FEB-0911.8278
1253Fortis Flexible Short Term Plan - Series B - Regular - Growth - Compulsory Renewal24-FEB-0911.8287
1254Fortis Flexible Short Term Plan - Series B - Regular - Monthly Dividend - Compulsory Redemption24-FEB-0910.0000
1255Fortis Flexible Short Term Plan - Series B - Regular - Monthly Dividend - Compulsory Renewal24-FEB-0910.0000
1256Fortis Flexible Short Term Plan - Series B - Regular - Quarterly Dividend - Compulsory Redemption24-FEB-0910.0000
1257Fortis Flexible Short Term Plan - Series B - Regular - Quarterly Dividend - Compulsory Renewal24-FEB-0910.0000
1258Fortis Flexible Short Term Plan - Series C - Institutional - Quarterly Dividend - Automatic Redemption12-MAR-0910.0000
1259Fortis Flexible Short Term Plan - Series C - Regular - Calendar Quarterly Dividend - Automatic Redemption10-DEC-0810.0000
1260Fortis Flexible Short Term Plan - Series C - Regular - Calendar Quarterly Dividend - Automatic Renewal10-DEC-0810.0000
1261Fortis Flexible Short Term Plan - Series C - Regular - Growth - Automatic Redemption12-MAR-0910.2005
1262Fortis Flexible Short Term Plan - Series C - Regular - Growth - Automatic Renewal12-MAR-0911.7716
1263Fortis Flexible Short Term Plan - Series C - Regular - Monthly Dividend - Automatic Redemption12-MAR-0910.0000
1264Fortis Flexible Short Term Plan - Series C - Regular - Monthly Dividend - Automatic Renewal12-MAR-0910.0000
1265Fortis Flexible Short Term Plan - Series C - Regular - Quarterly Dividend - Automatic Redemption12-MAR-0910.0000
1266Fortis Flexible Short Term Plan - Series C - Regular - Quarterly Dividend - Automatic Renewal12-MAR-0910.0000
1267Fortis Flexible Short Term Plan - Series D - Regular - Calendar Quarterly Dividend - Compulsory Redemption17-APR-0810.0663
1268Fortis Flexible Short Term Plan - Series E - Regular - Growth - Automatic Redemption26-DEC-0710.4144
1269Fortis Flexible Short Term Plan - Series E - Regular - Growth - Automatic Renewal26-DEC-0710.4147
1270Fortis Flexible Short Term Plan - Series E - Regular - Interval Dividend - Automatic Redemption26-DEC-0710.0005
1271Fortis Flexible Short Term Plan - Series E - Regular - Interval Dividend - Automatic Renewal26-DEC-0710.0005
1272Fortis Flexible Short Term Plan - Series E - Regular - Monthly Dividend - Automatic Redemption26-DEC-0710.0005
1273Fortis Flexible Short Term Plan - Series E - Regular - Monthly Dividend - Automatic Renewal27-SEP-0710.0009
1274Fortis Flexible Short Term Plan - Series E - Regular - Quarterly Dividend - Automatic Redemption26-DEC-0710.0005
1275Fortis Flexible Short Term Plan - Series E - Regular - Quarterly Dividend - Automatic Renewal26-DEC-0710.0005
1276Fortis Interval Fund - Monthly Plan A - Calender Monthly Dividend - Automatic Redemption17-NOV-0810.0000
1277Fortis Interval Fund - Monthly Plan A - Calender Monthly Dividend - Automatic Renewal25-JUN-0910.0003
1278Fortis Interval Fund - Monthly Plan A - Growth - Automatic Redemption24-JUN-0910.4765
1279Fortis Interval Fund - Monthly Plan A - Growth - Automatic Renewel25-JUN-0911.6989
1280Fortis Interval Fund - Monthly Plan A - Interval Dividend - Automatic Redemption28-MAY-0910.0108
1281Fortis Interval Fund - Monthly Plan A - Interval Dividend - Automatic Renewel25-JUN-0910.0003
1282Fortis Interval Fund - Quarterly - G - Growth - Automatic Redemption11-FEB-0810.4092
1283Fortis Interval Fund - Quarterly - G - Growth - Automatic Renewal11-FEB-0810.4093
1284Fortis Interval Fund - Quarterly - G - Interval Dividend - Automatic Redemption11-FEB-0810.0000
1285Fortis Interval Fund - Quarterly - G - Interval Dividend - Automatic Renewal11-FEB-0810.0000
1286Fortis Interval Fund - Quarterly - G - Monthly Dividend - Automatic Redemption11-FEB-0810.0000
1287Fortis Interval Fund - Quarterly - G - Monthly Dividend - Automatic Renewal11-FEB-0810.0000
1288Fortis Interval Fund - Quarterly - G - Quarterly Dividend - Automatic Redemption11-FEB-0810.0000
1289Fortis Interval Fund - Quarterly - G - Quarterly Dividend - Automatic Renewal11-FEB-0810.0000
1290Fortis Interval Fund - Quarterly - H - Regular - Growth - Automatic Redemption16-FEB-0911.0108
1291Fortis Interval Fund - Quarterly - H - Regular - Growth - Automatic Renewal16-FEB-0911.5131
1292Fortis Interval Fund - Quarterly - H - Regular - Interval Dividend - Automatic Redemption16-FEB-0910.0000
1293Fortis Interval Fund - Quarterly - H - Regular - Interval Dividend - Automatic Renewal16-FEB-0910.0000
1294Fortis Interval Fund - Quarterly - H - Regular - Monthly Dividend - Automatic Redemption24-NOV-0810.0037
1295Fortis Interval Fund - Quarterly - H - Regular - Monthly Dividend - Automatic Renewal12-SEP-0810.0479
1296Fortis Interval Fund - Quarterly - H - Regular - Quarterly Dividend - Automatic Redemption24-NOV-0810.0035
1297Fortis Interval Fund - Quarterly - H - Regular - Quarterly Dividend - Automatic Renewal24-NOV-0810.0035
1298Fortis Interval Fund - Quarterly - I - Regular - Growth - Automatic Redemption16-MAR-0910.1383
1299Fortis Interval Fund - Quarterly - I - Regular - Growth - Automatic Renewal17-MAR-0911.5062
1300Fortis Interval Fund - Quarterly - I - Regular - Interval Dividend - Automatic Redemption16-MAR-0910.0000
1301Fortis Interval Fund - Quarterly - I - Regular - Interval Dividend - Automatic Renewal17-MAR-0910.0005
1302Fortis Interval Fund - Quarterly - I - Regular - Monthly Dividend - Automatic Redemption19-DEC-0810.0060
1303Fortis Interval Fund - Quarterly - I - Regular - Monthly Dividend - Automatic Renewal15-DEC-0810.0000
1304Fortis Interval Fund - Quarterly - I - Regular - Quarterly Dividend - Automatic Redemption16-MAR-0910.0000
1305Fortis Interval Fund - Quarterly - I - Regular - Quarterly Dividend - Automatic Renewal17-MAR-0910.0005
1306Fortis Interval Fund - Quarterly - K - Growth - Automatic Redemption13-JAN-0910.3048
1307Fortis Interval Fund - Quarterly - K - Growth - Automatic Renewal13-JAN-0910.3048
1308Fortis Interval Fund - Quarterly - K - Interval Dividend - Automatic Redemption13-JAN-0910.0000
1309Fortis Interval Fund - Quarterly - K - Interval Dividend - Automatic Renewal13-JAN-0910.0000
1310Fortis Interval Fund - Quarterly - K - Monthly Dividend - Automatic Redemption13-JAN-0910.0000
1311Fortis Interval Fund - Quarterly - K - Monthly Dividend - Automatic Renewal07-OCT-0810.0023
1312Fortis Interval Fund - Quarterly - K - Quarterly Dividend - Automatic Redemption07-JUL-0810.0000
1313Fortis Interval Fund - Quarterly - L - Growth - Automatic Redemption20-JAN-0911.0282
1314Fortis Interval Fund - Quarterly - L - Growth - Automatic Renewal20-JAN-0911.0254
1315Fortis Interval Fund - Quarterly - L - Interval Dividend - Automatic Redemption20-JAN-0910.0000
1316Fortis Interval Fund - Quarterly - L - Interval Dividend - Automatic Renewal20-JAN-0910.0000
1317Fortis Interval Fund - Quarterly - L - Monthly Dividend - Automatic Redemption20-JAN-0910.0000
1318Fortis Interval Fund - Quarterly - L - Monthly Dividend - Automatic Renewal22-OCT-0810.0000
1319Fortis Interval Fund - Quarterly - L - Quarterly Dividend - Automatic Redemption23-OCT-0810.0024
1320Fortis Interval Fund - Quarterly - L - Quarterly Dividend - Automatic Renewal20-JAN-0910.0000
1321Fortis Interval Fund - Series 2 - Quarterly Plan - M - Regular - Growth - Automatic Redemption04-JAN-1010.0607
1322Fortis Interval Fund - Series 2 - Quarterly Plan - M - Regular - Growth - Automatic Renewal24-DEC-0911.5870
1323Fortis Interval Fund - Series 2 - Quarterly Plan - M - Regular - Interval Dividend - Automatic Redemption24-DEC-0910.0643
1324Fortis Interval Fund - Series 2 - Quarterly Plan - M - Regular - Interval Dividend - Automatic Renewal24-DEC-0910.0643
1325Fortis Interval Fund - Series 2 - Quarterly Plan - M - Regular - Monthly Dividend - Automatic Redemption19-DEC-0810.1094
1326Fortis Interval Fund - Series 2 - Quarterly Plan - M - Regular - Monthly Dividend - Automatic Renewal24-DEC-0910.0112
1327Franklin Asian Equity Fund - Dividend31-JAN-1211.2232
1328Franklin Asian Equity Fund - Growth31-JAN-1211.2232
1329Franklin Build India Fund - Dividend31-JAN-1210.3182
1330Franklin Build India Fund - Growth31-JAN-1210.8017
1331Franklin India Bluechip Fund-Dividend31-JAN-1233.9995
1332Franklin India Bluechip Fund-Growth31-JAN-12206.6270
1333Franklin India Flexi Cap Fund - Dividend31-JAN-1213.8211
1334Franklin India Flexi Cap Fund - Growth31-JAN-1230.2070
1335Franklin India High Growth Companies Fund - Dividend Option31-JAN-1210.4568
1336Franklin India High Growth Companies Fund - Growth31-JAN-1211.3783
1337Franklin India Index Fund - BSE Sensex Plan - Dividend31-JAN-1248.5164
1338Franklin India Index Fund - BSE Sensex Plan - Growth31-JAN-1248.5164
1339Franklin India Index Fund - NSE Nifty Plan - Dividend31-JAN-1240.9454
1340Franklin India Index Fund - NSE Nifty Plan - Growth31-JAN-1240.9454
1341Franklin India Opportunities Fund-Dividend31-JAN-1212.2888
1342Franklin India Opportunities Fund-Growth31-JAN-1228.7651
1343Franklin India Prima Fund-Dividend31-JAN-1233.2581
1344Franklin India Prima Fund-Growth31-JAN-12249.3791
1345Franklin India Prima Plus-Dividend31-JAN-1225.2377
1346Franklin India Prima Plus-Growth31-JAN-12210.1076
1347Franklin India Smaller Companies Fund - Dividend31-JAN-1211.5277
1348Franklin India Smaller Companies Fund - Growth31-JAN-1212.4501
1349Franklin India Taxshield-Dividend31-JAN-1229.4353
1350Franklin India Taxshield-Growth31-JAN-12202.8883
1351Franklin Infotech Fund-Dividend31-JAN-1217.5646
1352Franklin Infotech Fund-Growth31-JAN-1261.6871
1353Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Dividend31-JAN-1211.8101
1354Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Growth31-JAN-1213.9224
1355Franklin Templeton Fixed Tenure Fund - Series IX - Plan B - Dividend31-JAN-1211.0530
1356Franklin Templeton Fixed Tenure Fund - Series IX - Plan B - Growth31-JAN-1212.6448
1357Franklin Templeton Fixed Tenure Fund - Series VIIl (60 Months) - Plan A - Dividend31-JAN-1211.1892
1358Franklin Templeton Fixed Tenure Fund - Series VIIl (60 Months) - Plan A - Growth31-JAN-1214.2112
1359Franklin Templeton Fixed Tenure Fund - Series X - Plan C - Dividend31-JAN-1211.2220
1360Franklin Templeton Fixed Tenure Fund - Series X - Plan C - Growth01-FEB-12 0.0000
1361Franklin Templeton Fixed Tenure Fund - Series X - Plan D - Dividend01-FEB-12 0.0000
1362Franklin Templeton Fixed Tenure Fund - Series X - Plan D - Growth01-FEB-12 0.0000
1363Franklin Templeton Fixed Tenure Fund - Series XII - Plan A - Dividend31-JAN-1210.5664
1364Franklin Templeton Fixed Tenure Fund - Series XII - Plan A - Growth31-JAN-1211.1301
1365Franklin Templeton Fixed Tenure Fund - Series XII - Plan B - Dividend01-FEB-12 0.0000
1366Franklin Templeton Fixed Tenure Fund - Series XII - Plan B - Growth01-FEB-12 0.0000
1367Franklin Templeton Fixed Tenure Fund - Series XII - Plan C - Dividend31-JAN-1210.5198
1368Franklin Templeton Fixed Tenure Fund - Series XII - Plan C - Growth31-JAN-1210.6216
1369Franklin Templeton Fixed Tenure Fund - Series XIII - Plan A - Dividend31-JAN-1210.6176
1370Franklin Templeton Fixed Tenure Fund - Series XIII - Plan A - Growth31-JAN-1210.8280
1371Franklin Templeton Fixed Tenure Fund - Series XIV - Plan A - Dividend01-FEB-12 0.0000
1372Franklin Templeton Fixed Tenure Fund - Series XIV - Plan A - Growth01-FEB-12 0.0000
1373Franklin Templeton Fixed Tenure Fund - Series XIV - Plan B - Dividend31-JAN-1210.4201
1374Franklin Templeton Fixed Tenure Fund - Series XIV - Plan B - Growth31-JAN-1210.4201
1375Franklin Templeton Fixed Tenure Fund - Series XV - Dividend31-JAN-1210.5503
1376Franklin Templeton Fixed Tenure Fund - Series XV - Growth31-JAN-1210.5503
1377Goldman Sachs Banking Index Exchange Traded Scheme31-JAN-121003.8079
1378Goldman Sachs Derivative Fund - Dividend31-JAN-121110.7759
1379Goldman Sachs Derivative Fund - Growth31-JAN-121536.0667
1380Goldman Sachs Equity and Derivatives Opportunities Fund - Dividend31-JAN-1211.4226
1381Goldman Sachs Equity and Derivatives Opportunities Fund - Growth31-JAN-1212.8188
1382Goldman Sachs Gold Exchange Traded Scheme31-JAN-122721.0820
1383Goldman Sachs Hang Seng Exchange Traded Scheme - Growth31-JAN-121354.4120
1384Goldman Sachs Infrastructure Exchange Traded Scheme - Growth31-JAN-12252.5664
1385Goldman Sachs Liquid Exchange Traded Scheme - Daily Dividend31-JAN-121000.0000
1386Goldman Sachs Nifty Exchange Traded Scheme31-JAN-12530.7205
1387Goldman Sachs Nifty Junior Exchange Traded Scheme31-JAN-1298.3560
1388Goldman Sachs PSU Bank Exchange Traded Scheme31-JAN-12336.2793
1389Goldman Sachs S&P CNX 500 Fund - Dividend31-JAN-1210.8114
1390Goldman Sachs S&P CNX 500 Fund - Growth31-JAN-1217.2784
1391Goldman Sachs S&P CNX Nifty Shariah Index Exchange Traded Scheme - Growth31-JAN-12118.7848
1392Goldman Sachs Short Term Fund - Daily Dividend31-JAN-1210.0000
1393Goldman Sachs Short Term Fund - Growth31-JAN-1210.9585
1394Goldman Sachs Short Term Fund - Weekly Dividend31-JAN-1210.0087
1395HDFC Arbitrage Fund - Retail - Growth31-JAN-1213.2320
1396HDFC Arbitrage Fund - Retail - Monthly Dividend31-JAN-1210.0900
1397HDFC Arbitrage Fund - Retail - Quarterly Dividend31-JAN-1210.5190
1398HDFC Arbitrage Fund - Wholesale - Growth31-JAN-1213.3730
1399HDFC Arbitrage Fund - Wholesale - Monthly Dividend31-JAN-1210.0000
1400HDFC Arbitrage Fund - Wholesale - Quarterly Dividend31-JAN-1210.3740
1401HDFC Balanced Fund-Dividend31-JAN-1219.3530
1402HDFC Balanced Fund-Growth31-JAN-1255.1480
1403HDFC Capital Builder Fund-Dividend31-JAN-1221.5540
1404HDFC Capital Builder Fund-Growth31-JAN-1298.8990
1405HDFC Cash Management Fund - Treasury Advantage Plan - Retail - Daily Dividend31-JAN-1210.0315
1406HDFC Cash Management Fund - Treasury Advantage Plan - Retail - Growth31-JAN-1222.7994
1407HDFC Cash Management Fund - Treasury Advantage Plan - Retail - Monthly Dividend31-JAN-1210.0523
1408HDFC Cash Management Fund - Treasury Advantage Plan - Retail - Weekly Dividend31-JAN-1210.0233
1409HDFC Cash Management Fund - Treasury Advantage Plan - Wholesale - Daily Dividend31-JAN-1210.0315
1410HDFC Cash Management Fund - Treasury Advantage Plan - Wholesale - Growth31-JAN-1223.1616
1411HDFC Cash Management Fund - Treasury Advantage Plan - Wholesale - Monthly Dividend31-JAN-1210.0525
1412HDFC Cash Management Fund - Treasury Advantage Plan - Wholesale - Weekly Dividend31-JAN-1210.0235
1413HDFC Cash Management Fund-Call Plan-Daily Dividend31-JAN-1210.4266
1414HDFC Cash Management Fund-Call Plan-Growth31-JAN-1217.1658
1415HDFC Cash Management Fund-Savings Plan-Daily Dividend31-JAN-1210.6364
1416HDFC Cash Management Fund-Savings Plan-Growth31-JAN-1222.0454
1417HDFC Cash Management Fund-Savings Plan-Weekly Dividend31-JAN-1210.6355
1418HDFC Children`s Gift Investment Plan31-JAN-1242.5840
1419HDFC Children`s Gift Savings Plan31-JAN-1224.0420
1420HDFC Core and Satellite Fund - Dividend31-JAN-1218.2390
1421HDFC Core and Satellite Fund - Growth31-JAN-1235.2420
1422HDFC Debt Fund for Cancer Cure - 100% Dividend Donation Option01-FEB-12 0.0000
1423HDFC Debt Fund for Cancer Cure - 50% Dividend Donation Option31-JAN-1210.3157
1424HDFC Equity Fund - Dividend31-JAN-1242.1490
1425HDFC Equity Fund - Growth31-JAN-12249.5180
1426HDFC FMP - 13 M - August 2011 (1) - Series XVIII - Growth01-FEB-12 0.0000
1427HDFC FMP - 13 M - August 2011 (1) - Series XVIII - Normal Dividend01-FEB-12 0.0000
1428HDFC FMP - 13 M - August 2011 (1) - Series XVIII - Quarterly Dividend01-FEB-12 0.0000
1429HDFC FMP - 13 M - September 2011 (1) - Series XVIII - Growth01-FEB-12 0.0000
1430HDFC FMP - 13 M - September 2011 (1) - Series XVIII - Normal Dividend01-FEB-12 0.0000
1431HDFC FMP - 13 M - September 2011 (1) - Series XVIII - Quarterly Dividend01-FEB-12 0.0000
1432HDFC FMP - 24 M - November 2011 (1) - Series XIX - Growth01-FEB-12 0.0000
1433HDFC FMP - 24 M - November 2011 (1) - Series XIX - Normal Dividend01-FEB-12 0.0000
1434HDFC FMP - 24 M - November 2011 (1) - Series XIX - Quarterly Dividend01-FEB-12 0.0000
1435HDFC FMP - 24 M - September 2011 (1) - Series XIX - Growth01-FEB-12 0.0000
1436HDFC FMP - 24 M - September 2011 (1) - Series XIX - Normal Dividend01-FEB-12 0.0000
1437HDFC FMP - 24 M - September 2011 (1) - Series XIX - Quarterly Dividend01-FEB-12 0.0000
1438HDFC FMP - 24M - February 2010 - Series XII - Growth01-FEB-12 0.0000
1439HDFC FMP - 24M - February 2010 - Series XII - Normal Dividend01-FEB-12 0.0000
1440HDFC FMP - 24M - February 2010 - Series XII - Quarterly Dividend01-FEB-12 0.0000
1441HDFC FMP - 25M - September 2010 - Series XV - Growth31-JAN-1211.0614
1442HDFC FMP - 25M - September 2010 - Series XV - Normal Dividend01-FEB-1211.0633
1443HDFC FMP - 25M - September 2010 - Series XV - Quarterly Dividend31-JAN-1210.0912
1444HDFC FMP - 36 M - November 2011 (1) - Series XIX - Growth31-JAN-1210.2280
1445HDFC FMP - 36 M - November 2011 (1) - Series XIX - Normal Dividend31-JAN-1210.2280
1446HDFC FMP - 36 M - November 2011 (1) - Series XIX - Quarterly Dividend31-JAN-1210.2280
1447HDFC FMP - 36 M - October 2011 (1) - Series XIX - Growth31-JAN-1210.3154
1448HDFC FMP - 36 M - October 2011 (1) - Series XIX - Normal Dividend31-JAN-1210.3154
1449HDFC FMP - 36 M - October 2011 (1) - Series XIX - Quarterly Dividend31-JAN-1210.2110
1450HDFC FMP - 36M - April 2010 - Series XII - Growth31-JAN-1211.2447
1451HDFC FMP - 36M - April 2010 - Series XII - Normal Dividend31-JAN-1211.2447
1452HDFC FMP - 36M - April 2010 - Series XII - Quarterly Dividend31-JAN-1210.1070
1453HDFC FMP - 370 D - December 2011 (1) - Series XIX - Growth30-JAN-1210.0920
1454HDFC FMP - 370 D - December 2011 (1) - Series XIX - Normal Dividend30-JAN-1210.0920
1455HDFC FMP - 370 D - December 2011 (1) - Series XIX - Quarterly Dividend30-JAN-1210.0920
1456HDFC FMP - 370 D - December 2011 (2) - Series XIX - Growth30-JAN-1210.0921
1457HDFC FMP - 370 D - December 2011 (2) - Series XIX - Normal Dividend30-JAN-1210.0921
1458HDFC FMP - 370 D - December 2011 (2) - Series XIX - Quarterly Dividend30-JAN-1210.0921
1459HDFC FMP - 370 D - December 2011 (3) - Series XIX - Growth31-JAN-1210.0661
1460HDFC FMP - 370 D - December 2011 (3) - Series XIX - Normal Dividend30-JAN-1210.0680
1461HDFC FMP - 370 D - December 2011 (3) - Series XIX - Quarterly Dividend31-JAN-1210.0661
1462HDFC FMP - 370 D - February 2011 (1) - Series XVI - Growth31-JAN-1210.9234
1463HDFC FMP - 370 D - February 2011 (1) - Series XVI - Normal Dividend31-JAN-1210.9234
1464HDFC FMP - 370 D - February 2011 (1) - Series XVI - Quarterly Dividend31-JAN-1210.0916
1465HDFC FMP - 370 D - January 2012 (1) - Series XIX - Growth31-JAN-1210.0403
1466HDFC FMP - 370 D - January 2012 (1) - Series XIX - Normal Dividend31-JAN-1210.0403
1467HDFC FMP - 370 D - January 2012 (1) - Series XIX - Quarterly Dividend31-JAN-1210.0403
1468HDFC FMP - 370 D - January 2012 (2) - Series XIX - Growth31-JAN-1210.0357
1469HDFC FMP - 370 D - January 2012 (2) - Series XIX - Normal Dividend31-JAN-1210.0357
1470HDFC FMP - 370 D - January 2012 (2) - Series XIX - Quarterly Dividend31-JAN-1210.0357
1471HDFC FMP - 370 D - January 2012 (3) - Series XIX - Growth31-JAN-1210.0305
1472HDFC FMP - 370 D - January 2012 (3) - Series XIX - Normal Dividend31-JAN-1210.0305
1473HDFC FMP - 370 D - January 2012 (3) - Series XIX - Quarterly Dividend31-JAN-1210.0305
1474HDFC FMP - 370 D - July 2011 (1) - Series XVIII - Growth31-JAN-1210.5173
1475HDFC FMP - 370 D - July 2011 (1) - Series XVIII - Normal Dividend31-JAN-1210.5173
1476HDFC FMP - 370 D - July 2011 (1) - Series XVIII - Quarterly Dividend31-JAN-1210.0910
1477HDFC FMP - 370 D - July 2011 (2) - Series XVIII - Growth31-JAN-1210.4785
1478HDFC FMP - 370 D - July 2011 (2) - Series XVIII - Normal Dividend31-JAN-1210.4785
1479HDFC FMP - 370 D - July 2011 (2) - Series XVIII - Quarterly Dividend31-JAN-1210.0884
1480HDFC FMP - 370 D - June 2011 (1) - Series XVIII - Growth31-JAN-1210.6144
1481HDFC FMP - 370 D - June 2011 (1) - Series XVIII - Normal Dividend31-JAN-1210.6144
1482HDFC FMP - 370 D - June 2011 (1) - Series XVIII - Quarterly Dividend31-JAN-1210.0961
1483HDFC FMP - 370 D - June 2011 (2) - Series XVIII - Growth30-JAN-1210.5908
1484HDFC FMP - 370 D - June 2011 (2) - Series XVIII - Normal Dividend27-JAN-1210.5842
1485HDFC FMP - 370 D - June 2011 (2) - Series XVIII - Quarterly Dividend31-JAN-1210.0929
1486HDFC FMP - 370 D - June 2011 (3) - Series XVIII - Growth31-JAN-1210.5609
1487HDFC FMP - 370 D - June 2011 (3) - Series XVIII - Normal Dividend31-JAN-1210.5609
1488HDFC FMP - 370 D - June 2011 (3) - Series XVIII - Quarterly Dividend31-JAN-1210.0904
1489HDFC FMP - 370 D - June 2011 (4) - Series XVIII - Growth31-JAN-1210.5487
1490HDFC FMP - 370 D - June 2011 (4) - Series XVIII - Normal Dividend31-JAN-1210.5487
1491HDFC FMP - 370 D - June 2011 (4) - Series XVIII - Quarterly Dividend31-JAN-1210.0908
1492HDFC FMP - 370 D - March 2011 (1) - Series XVI - Growth31-JAN-1210.9180
1493HDFC FMP - 370 D - March 2011 (1) - Series XVI - Normal Dividend31-JAN-1210.9180
1494HDFC FMP - 370 D - March 2011 (1) - Series XVI - Quarterly Dividend31-JAN-1210.0919
1495HDFC FMP - 370 D - March 2011 (2) - Series XVI - Growth31-JAN-1210.8932
1496HDFC FMP - 370 D - March 2011 (2) - Series XVI - Normal Dividend31-JAN-1210.8932
1497HDFC FMP - 370 D - March 2011 (2) - Series XVI - Quarterly Dividend31-JAN-1210.0912
1498HDFC FMP - 370 D - March 2011 (3) - Series XVI - Growth31-JAN-1210.8606
1499HDFC FMP - 370 D - March 2011 (3) - Series XVI - Normal Dividend31-JAN-1210.8606
1500HDFC FMP - 370 D - March 2011 (3) - Series XVI - Quarterly Dividend01-FEB-1210.0958
1501HDFC FMP - 370 D - March 2011 (4) - Series XVI - Growth01-FEB-1210.8530
1502HDFC FMP - 370 D - March 2011 (4) - Series XVI - Normal Dividend01-FEB-1210.8530
1503HDFC FMP - 370 D - March 2011 (4) - Series XVI - Quarterly Dividend01-FEB-1210.1002
1504HDFC FMP - 370 D - March 2011 (5) - Series XVI - Growth01-FEB-1210.8161
1505HDFC FMP - 370 D - March 2011 (5) - Series XVI - Normal Dividend01-FEB-1210.8161
1506HDFC FMP - 370 D - March 2011 (5) - Series XVI - Quarterly Dividend01-FEB-1210.1010
1507HDFC FMP - 370 D - May 2011 (1) - Series XVIII - Growth01-FEB-1210.6635
1508HDFC FMP - 370 D - May 2011 (1) - Series XVIII - Normal Dividend01-FEB-1210.6635
1509HDFC FMP - 370 D - May 2011 (1) - Series XVIII - Quarterly Dividend01-FEB-1210.0980
1510HDFC FMP - 370 D - May 2011 (2) - Series XVIII - Growth01-FEB-1210.6461
1511HDFC FMP - 370 D - May 2011 (2) - Series XVIII - Normal Dividend01-FEB-1210.6461
1512HDFC FMP - 370 D - May 2011 (2) - Series XVIII - Quarterly Dividend01-FEB-1210.0987
1513HDFC FMP - 370 D - November 2011 (1) - Series XIX - Growth01-FEB-1210.1795
1514HDFC FMP - 370 D - November 2011 (1) - Series XIX - Normal Dividend01-FEB-1210.1795
1515HDFC FMP - 370 D - November 2011 (1) - Series XIX - Quarterly Dividend01-FEB-1210.0893
1516HDFC FMP - 370 D - November 2011 (2) - Series XIX - Growth27-JAN-1210.1449
1517HDFC FMP - 370 D - November 2011 (2) - Series XIX - Normal Dividend27-JAN-1210.1449
1518HDFC FMP - 370 D - November 2011 (2) - Series XIX - Quarterly Dividend30-JAN-1210.1530
1519HDFC FMP - 370 D - November 2011 (3) - Series XIX - Growth30-JAN-1210.1410
1520HDFC FMP - 370 D - November 2011 (3) - Series XIX - Normal Dividend30-JAN-1210.1410
1521HDFC FMP - 370 D - November 2011 (3) - Series XIX - Quarterly Dividend30-JAN-1210.1410
1522HDFC FMP - 370 D - October 2011 (1) - Series XIX - Growth01-FEB-1210.2435
1523HDFC FMP - 370 D - October 2011 (1) - Series XIX - Normal Dividend01-FEB-1210.2435
1524HDFC FMP - 370 D - October 2011 (1) - Series XIX - Quarterly Dividend01-FEB-1210.0868
1525HDFC FMP - 370 D - October 2011 (2) - Series XIX - Growth01-FEB-1210.2357
1526HDFC FMP - 370 D - October 2011 (2) - Series XIX - Normal Dividend01-FEB-1210.2357
1527HDFC FMP - 370 D - October 2011 (2) - Series XIX - Quarterly Dividend01-FEB-1210.0854
1528HDFC FMP - 375 D - July 2011 (1) - Series XVIII - Growth01-FEB-1210.4672
1529HDFC FMP - 375 D - July 2011 (1) - Series XVIII - Normal Dividend01-FEB-1210.4672
1530HDFC FMP - 375 D - July 2011 (1) - Series XVIII - Quarterly Dividend01-FEB-1210.0911
1531HDFC FMP - 375 D - July 2011 (2) - Series XVIII - Growth01-FEB-1210.4562
1532HDFC FMP - 375 D - July 2011 (2) - Series XVIII - Normal Dividend01-FEB-1210.4562
1533HDFC FMP - 375 D - July 2011 (2) - Series XVIII - Quarterly Dividend01-FEB-1210.0920
1534HDFC FMP - 463 D - January 2012 (1) - Series XX - Growth01-FEB-1210.0188
1535HDFC FMP - 463 D - January 2012 (1) - Series XX - Normal Dividend01-FEB-1210.0188
1536HDFC FMP - 463 D - January 2012 (1) - Series XX - Quarterly Dividend01-FEB-1210.0188
1537HDFC FMP - 92 D - December 2011 (1) - Series XIX - Dividend01-FEB-1210.1228
1538HDFC FMP - 92 D - December 2011 (1) - Series XIX - Growth01-FEB-1210.1228
1539HDFC FMP - 92 D - December 2011 (2) - Series XIX - Dividend01-FEB-1210.0939
1540HDFC FMP - 92 D - December 2011 (2) - Series XIX - Growth01-FEB-1210.0939
1541HDFC FMP - 92 D - January 2012 (1) - Series XIX - Dividend01-FEB-1210.0692
1542HDFC FMP - 92 D - January 2012 (1) - Series XIX - Growth01-FEB-1210.0692
1543HDFC FMP - 92 D - January 2012 (2) - Series XIX - Dividend01-FEB-1210.0363
1544HDFC FMP - 92 D - January 2012 (2) - Series XIX - Growth01-FEB-1210.0363
1545HDFC FMP - 92 D - November 2011 (1) - Series XIX - Dividend01-FEB-1210.1800
1546HDFC FMP - 92 D - November 2011 (1) - Series XIX - Growth01-FEB-1210.1800
1547HDFC FMP - 92 D - November 2011 (2) - Series XIX - Dividend01-FEB-1210.1628
1548HDFC FMP - 92 D - November 2011 (2) - Series XIX - Growth01-FEB-1210.1628
1549HDFC Floating Rate Income Fund - Long Term Plan - Dividend31-JAN-1210.1736
1550HDFC Floating Rate Income Fund - Long Term Plan - Growth31-JAN-1218.2474
1551HDFC Floating Rate Income Fund - Short Term Plan - Daily Dividend31-JAN-1210.0809
1552HDFC Floating Rate Income Fund - Short Term Plan - Growth31-JAN-1217.7563
1553HDFC Floating Rate Income Fund - Short Term Plan - Weekly Dividend31-JAN-1210.1374
1554HDFC Floating Rate Income Fund - Short Term Plan - Wholesale - Daily Dividend31-JAN-1210.0809
1555HDFC Floating Rate Income Fund - Short Term Plan - Wholesale - Growth30-JAN-1218.0038
1556HDFC Floating Rate Income Fund - Short Term Plan - Wholesale - Monthly Dividend31-JAN-1210.1462
1557HDFC Floating Rate Income Fund - Short Term Plan - Wholesale - Weekly Dividend31-JAN-1210.1374
1558HDFC Floating Rate Income Fund - Short Term Plan -Monthly Dividend31-JAN-1210.1460
1559HDFC Gilt Long Term Plan-Dividend31-JAN-1210.9088
1560HDFC Gilt Long Term Plan-Growth31-JAN-1220.8773
1561HDFC Gilt Short Term Plan-Dividend31-JAN-1211.0854
1562HDFC Gilt Short Term Plan-Growth31-JAN-1217.6615
1563HDFC Gold Exchange Traded Fund31-JAN-122787.6678
1564HDFC Gold Fund - Growth31-JAN-1210.1362
1565HDFC Growth Fund-Dividend31-JAN-1229.1560
1566HDFC Growth Fund-Growth31-JAN-1282.2630
1567HDFC HIF-Short Term Plan-Dividend30-JAN-1210.5897
1568HDFC HIF-Short Term Plan-Growth31-JAN-1220.8090
1569HDFC High Interest Fund - Quarterly Dividend31-JAN-1211.4940
1570HDFC High Interest Fund-54EA-Dividend31-JAN-1211.4940
1571HDFC High Interest Fund-54EA-Growth31-JAN-1235.1698
1572HDFC High Interest Fund-54EB-Dividend31-JAN-1211.4940
1573HDFC High Interest Fund-54EB-Growth31-JAN-1235.1698
1574HDFC High Interest Fund-Annual31-JAN-1212.2654
1575HDFC High Interest Fund-Growth31-JAN-1235.1698
1576HDFC High Interest Fund-Half Yearly31-JAN-1211.3385
1577HDFC Income Fund-Dividend31-JAN-1211.2788
1578HDFC Income Fund-Growth31-JAN-1224.2594
1579HDFC Index Nifty Plan-Dividend31-JAN-1244.8932
1580HDFC Index Nifty Plan-Growth31-JAN-1244.8932
1581HDFC Index Sensex Plan-Dividend31-JAN-12142.8956
1582HDFC Index Sensex Plan-Growth31-JAN-12142.8956
1583HDFC Index Sensex Plus Plan-Dividend31-JAN-12215.2157
1584HDFC Index Sensex Plus Plan-Growth30-JAN-12211.2859
1585HDFC Infrastructure Fund - Dividend31-JAN-12 9.7950
1586HDFC Infrastructure Fund - Growth31-JAN-12 9.7950
1587HDFC Liquid Fund - Daily Dividend31-JAN-1210.1982
1588HDFC Liquid Fund - Dividend31-JAN-1210.3129
1589HDFC Liquid Fund - Growth31-JAN-1220.8442
1590HDFC Liquid Fund - Monthly Dividend31-JAN-1210.2656
1591HDFC Liquid Fund - Premium Plan - Daily Dividend31-JAN-1212.2598
1592HDFC Liquid Fund - Premium Plan - Dividend31-JAN-1210.0000
1593HDFC Liquid Fund - Premium Plan - Growth31-JAN-1221.1556
1594HDFC Liquid Fund - Premium Plus Plan - Growth31-JAN-1221.1982
1595HDFC Liquid Fund - Premium Plus Plan - Weekly Dividend31-JAN-1210.0000
1596HDFC Long Term Advantage Fund - Dividend31-JAN-1232.9690
1597HDFC Long Term Advantage Fund - Growth31-JAN-12126.0270
1598HDFC Long Term Equity Fund - Dividend31-JAN-1211.6030
1599HDFC Long Term Equity Fund - Growth31-JAN-1215.1770
1600HDFC Medium Term Opportunities Fund - Dividend31-JAN-1210.0843
1601HDFC Medium Term Opportunities Fund - Growth31-JAN-1211.3334
1602HDFC Mid-Cap Opportunities Fund - Dividend31-JAN-1214.9980
1603HDFC Mid-Cap Opportunities Fund - Growth31-JAN-1214.9980
1604HDFC Monthly Income Plan - LTP - Growth31-JAN-1223.6660
1605HDFC Monthly Income Plan - LTP - Monthly Dividend31-JAN-1212.6062
1606HDFC Monthly Income Plan - LTP - Quarterly Dividend31-JAN-1213.0053
1607HDFC Monthly Income Plan - STP - Growth31-JAN-1217.8479
1608HDFC Monthly Income Plan - STP - Monthly Dividend31-JAN-1211.0362
1609HDFC Monthly Income Plan - STP - Quarterly Dividend31-JAN-1211.3617
1610HDFC Multiple Yield Fund - Dividend31-JAN-1211.5805
1611HDFC Multiple Yield Fund - Growth31-JAN-1219.2144
1612HDFC Multiple Yield Fund - Plan 2005 - Dividend31-JAN-1211.4475
1613HDFC Multiple Yield Fund - Plan 2005 - Growth31-JAN-1217.3824
1614HDFC Premier Multi-Cap Fund - Dividend31-JAN-1213.2240
1615HDFC Premier Multi-Cap Fund - Growth31-JAN-1225.8590
1616HDFC Prudence Fund-Dividend31-JAN-1227.9350
1617HDFC Prudence Fund-Growth31-JAN-12204.9230
1618HDFC Quarterly Interval Fund - Plan A - Retail - Dividend01-FEB-1210.1159
1619HDFC Quarterly Interval Fund - Plan A - Retail - Growth01-FEB-1214.7364
1620HDFC Quarterly Interval Fund - Plan A - Wholesale - Dividend01-FEB-1210.1159
1621HDFC Quarterly Interval Fund - Plan A - Wholesale - Growth01-FEB-1210.5601
1622HDFC Quarterly Interval Fund - Plan B - Retail - Dividend01-FEB-1210.0604
1623HDFC Quarterly Interval Fund - Plan B - Retail - Growth01-FEB-1214.4269
1624HDFC Quarterly Interval Fund - Plan B - Wholesale - Dividend01-FEB-1210.0687
1625HDFC Quarterly Interval Fund - Plan B - Wholesale - Growth01-FEB-1210.0000
1626HDFC Quarterly Interval Fund - Plan C - Retail - Dividend01-FEB-1210.2146
1627HDFC Quarterly Interval Fund - Plan C - Retail - Growth01-FEB-1214.3859
1628HDFC Quarterly Interval Fund - Plan C - Wholesale - Dividend01-FEB-1210.2146
1629HDFC Quarterly Interval Fund - Plan C - Wholesale - Growth31-JAN-1211.3109
1630HDFC Short Term Opportunities Fund - Dividend31-JAN-1210.0344
1631HDFC Short Term Opportunities Fund - Growth31-JAN-1211.3876
1632HDFC Short Term Plan-Dividend31-JAN-1210.3289
1633HDFC Short Term Plan-Growth31-JAN-1220.3863
1634HDFC Tax Saver - Dividend31-JAN-1253.9970
1635HDFC Tax Saver - Growth31-JAN-12212.5400
1636HDFC Top 200 Fund-54EA31-JAN-1242.1080
1637HDFC Top 200 Fund-54EB31-JAN-1242.1080
1638HDFC Top 200 Fund-Dividend31-JAN-1242.1080
1639HDFC Top 200 Fund-Growth31-JAN-12194.4700
1640HSBC Brazil Fund - Dividend31-JAN-12 9.5534
1641HSBC Brazil Fund - Growth31-JAN-12 9.5534
1642HSBC Cash Fund - Daily Dividend31-JAN-1210.1930
1643HSBC Cash Fund - Growth31-JAN-1216.7289
1644HSBC Cash Fund - Institutional Plan - Daily Dividend31-JAN-1210.4401
1645HSBC Cash Fund - Institutional Plan - Growth31-JAN-1216.9457
1646HSBC Cash Fund - Institutional Plan - Monthly Dividend31-JAN-1210.5310
1647HSBC Cash Fund - Institutional Plan - Weekly Dividend31-JAN-1210.8725
1648HSBC Cash Fund - Institutional Plus - Daily Dividend31-JAN-1210.0056
1649HSBC Cash Fund - Institutional Plus - Growth31-JAN-1210.5853
1650HSBC Cash Fund - Institutional Plus - Monthly Dividend14-NOV-1110.1155
1651HSBC Cash Fund - Institutional Plus - Weekly Dividend31-JAN-1210.6843
1652HSBC Cash Fund - Weekly Dividend31-JAN-1210.0260
1653HSBC Dynamic Fund - Dividend31-JAN-12 9.4992
1654HSBC Dynamic Fund - Growth31-JAN-12 9.4992
1655HSBC Emerging Markets Fund - Dividend31-JAN-12 9.8005
1656HSBC Emerging Markets Fund - Growth31-JAN-12 9.8005
1657HSBC Equity Fund - Dividend31-JAN-1223.6723
1658HSBC Equity Fund - Growth31-JAN-1294.1102
1659HSBC Fixed Term Series - 79 - Dividend01-FEB-1210.8488
1660HSBC Fixed Term Series - 79 - Growth01-FEB-1210.8488
1661HSBC Fixed Term Series - 80 - Dividend01-FEB-1210.5375
1662HSBC Fixed Term Series - 80 - Growth01-FEB-1210.5375
1663HSBC Fixed Term Series - 81 - Dividend01-FEB-1210.4046
1664HSBC Fixed Term Series - 81 - Growth01-FEB-1210.4046
1665HSBC Fixed Term Series - 82 - Dividend01-FEB-1210.0260
1666HSBC Fixed Term Series - 82 - Growth01-FEB-1210.0260
1667HSBC Fixed Term Series - 83 - Dividend31-JAN-1210.0109
1668HSBC Fixed Term Series - 83 - Growth31-JAN-1210.0109
1669HSBC Flexi Debt Fund - Institutional - Fortnightly Dividend24-AUG-1110.0843
1670HSBC Flexi Debt Fund - Institutional - Growth31-JAN-1214.4599
1671HSBC Flexi Debt Fund - Institutional - Half Yearly Dividend25-APR-1110.3141
1672HSBC Flexi Debt Fund - Institutional - Monthly Dividend31-JAN-1210.5507
1673HSBC Flexi Debt Fund - Institutional - Quarterly Dividend31-JAN-1211.4591
1674HSBC Flexi Debt Fund - Regular - Fortnightly Dividend31-JAN-1210.7437
1675HSBC Flexi Debt Fund - Regular - Growth31-JAN-1214.2431
1676HSBC Flexi Debt Fund - Regular - Half Yearly Dividend31-JAN-1211.2062
1677HSBC Flexi Debt Fund - Regular - Monthly Dividend31-JAN-1210.3198
1678HSBC Flexi Debt Fund - Regular - Quarterly Dividend31-JAN-1211.5823
1679HSBC Floating Rate Fund - Long Term Plan - Institutional Option - Daily Dividend03-DEC-1010.5135
1680HSBC Floating Rate Fund - Long Term Plan - Institutional Option - Fortnightly Dividend29-AUG-1110.0265
1681HSBC Floating Rate Fund - Long Term Plan - Institutional Option - Growth31-JAN-1216.5302
1682HSBC Floating Rate Fund - Long Term Plan - Institutional Option - Monthly Dividend31-JAN-1210.1450
1683HSBC Floating Rate Fund - Long Term Plan - Institutional Option - Weekly Dividend31-JAN-1211.2409
1684HSBC Floating Rate Fund - Long Term Plan - Regular Option - Daily Dividend31-JAN-1210.0818
1685HSBC Floating Rate Fund - Long Term Plan - Regular Option - Growth31-JAN-1216.0691
1686HSBC Floating Rate Fund - Long Term Plan - Regular Option - Monthly Dividend31-JAN-1210.0092
1687HSBC Floating Rate Fund - Long Term Plan - Regular Option - Weekly Dividend31-JAN-1210.0136
1688HSBC Floating Rate Fund - Short Term Plan - Institutional Option - Daily Dividend22-FEB-1110.5801
1689HSBC Floating Rate Fund - Short Term Plan - Institutional Option - Growth01-SEP-1114.9070
1690HSBC Floating Rate Fund - Short Term Plan - Institutional Option - Monthly Dividend27-FEB-1110.5322
1691HSBC Floating Rate Fund - Short Term Plan - Institutional Option - Weekly Dividend26-AUG-0910.4979
1692HSBC Floating Rate Fund - Short Term Plan - Institutional Plus - Daily Dividend15-APR-0910.0000
1693HSBC Floating Rate Fund - Short Term Plan - Institutional Plus - Growth Option27-OCT-1012.0334
1694HSBC Floating Rate Fund - Short Term Plan - Institutional Plus - Weekly Dividend Option04-MAY-0910.0355
1695HSBC Floating Rate Fund - Short Term Plan - Regular Option - Daily Dividend01-SEP-1110.0000
1696HSBC Floating Rate Fund - Short Term Plan - Regular Option - Growth01-SEP-1114.7347
1697HSBC Floating Rate Fund - Short Term Plan - Regular Option - Weekly Dividend01-SEP-1110.0276
1698HSBC Gilt Fund - Dividend31-JAN-1211.9031
1699HSBC Gilt Fund - Growth31-JAN-1213.4981
1700HSBC Gilt Fund - Weekly Dividend31-JAN-12 9.9959
1701HSBC Income Fund - Investment Plan - Dividend31-JAN-1211.3386
1702HSBC Income Fund - Investment Plan - Growth31-JAN-1218.1758
1703HSBC Income Fund - Investment Plan - Institutional Plan - Dividend24-DEC-0910.9733
1704HSBC Income Fund - Investment Plan - Institutional Plan - Growth17-FEB-1110.3921
1705HSBC Income Fund - Short Term Plan - Dividend31-JAN-1210.9488
1706HSBC Income Fund - Short Term Plan - Growth31-JAN-1217.7240
1707HSBC Income Fund - Short Term Plan - Institutional Plan - Dividend31-JAN-1210.5043
1708HSBC Income Fund - Short Term Plan - Institutional Plan - Growth31-JAN-1214.0700
1709HSBC Income Fund - Short Term Plan - Institutional Plan - Weekly Dividend27-JAN-1210.3777
1710HSBC Income Fund - Short Term Plan - Institutional Plus - Growth31-JAN-1210.1757
1711HSBC Income Fund - Short Term Plan - Institutional Plus - Monthly Dividend31-JAN-1210.0340
1712HSBC Income Fund - Short Term Plan - Institutional Plus - Weekly Dividend31-JAN-1210.0655
1713HSBC Income Fund - Short Term Plan - Weekly Dividend31-JAN-1210.1673
1714HSBC India Opportunities Fund - Dividend31-JAN-1215.6035
1715HSBC India Opportunities Fund - Growth31-JAN-1233.1229
1716HSBC Midcap Equity Fund - Dividend31-JAN-12 8.6635
1717HSBC Midcap Equity Fund - Growth31-JAN-1216.2030
1718HSBC Monthly Income Plan - Regular - Dividend31-JAN-1211.1602
1719HSBC Monthly Income Plan - Regular - Growth31-JAN-1217.6082
1720HSBC Monthly Income Plan - Regular - Monthly Dividend31-JAN-1210.7482
1721HSBC Monthly Income Plan - Regular - Quarterly Dividend31-JAN-1211.1602
1722HSBC Monthly Income Plan - Savings - Dividend31-JAN-1211.5487
1723HSBC Monthly Income Plan - Savings - Growth31-JAN-1219.7024
1724HSBC Monthly Income Plan - Savings - Monthly Dividend31-JAN-1211.3880
1725HSBC Monthly Income Plan - Savings - Quarterly Dividend31-JAN-1211.5487
1726HSBC Progressive Themes Fund - Dividend31-JAN-12 8.5005
1727HSBC Progressive Themes Fund - Growth31-JAN-12 9.9936
1728HSBC Small Cap Fund - Dividend31-JAN-12 7.8749
1729HSBC Small Cap Fund - Growth31-JAN-12 8.4669
1730HSBC Tax Saver Equity Fund - Dividend31-JAN-1212.1777
1731HSBC Tax Saver Equity Fund - Growth31-JAN-1213.2036
1732HSBC Ultra Short Term Bond Fund - Institutional - Daily Dividend31-JAN-1210.0009
1733HSBC Ultra Short Term Bond Fund - Institutional - Growth31-JAN-1214.2021
1734HSBC Ultra Short Term Bond Fund - Institutional - Monthly Dividend31-JAN-1210.1467
1735HSBC Ultra Short Term Bond Fund - Institutional - Weekly Dividend31-JAN-1210.0423
1736HSBC Ultra Short Term Bond Fund - Institutional Plus - Daily Dividend31-JAN-1210.3093
1737HSBC Ultra Short Term Bond Fund - Institutional Plus - Growth21-MAR-1113.4962
1738HSBC Ultra Short Term Bond Fund - Institutional Plus - Monthly Dividend21-APR-1110.4038
1739HSBC Ultra Short Term Bond Fund - Institutional Plus - Weekly Dividend31-JAN-1210.1727
1740HSBC Ultra Short Term Bond Fund - Regular - Daily Dividend31-JAN-1210.0021
1741HSBC Ultra Short Term Bond Fund - Regular - Growth31-JAN-1214.0427
1742HSBC Ultra Short Term Bond Fund - Regular - Weekly Dividend31-JAN-1210.0410
1743HSBC Unique Opportunities Fund - Dividend31-JAN-12 9.7573
1744HSBC Unique Opportunities Fund - Growth31-JAN-12 9.7573
1745ICICI Prudential Aggressive Plan - Dividend31-JAN-1231.5472
1746ICICI Prudential Aggressive Plan - Growth31-JAN-1231.5472
1747ICICI Prudential Balanced Fund-Dividend31-JAN-1215.5300
1748ICICI Prudential Balanced Fund-Growth30-JAN-1245.5000
1749ICICI Prudential Banking and Financial Services Fund - Retail - Dividend31-JAN-1215.9800
1750ICICI Prudential Banking and Financial Services Fund - Retail - Growth31-JAN-1216.3000
1751ICICI Prudential Banking and PSU Debt Fund - Premium Option - Daily Dividend31-JAN-1210.0095
1752ICICI Prudential Banking and PSU Debt Fund - Premium Option - Growth31-JAN-1210.8746
1753ICICI Prudential Banking and PSU Debt Fund - Premium Option - Weekly Dividend31-JAN-1210.0034
1754ICICI Prudential Banking and PSU Debt Fund - Retail Option - Daily Dividend31-JAN-1210.0140
1755ICICI Prudential Banking and PSU Debt Fund - Retail Option - Growth31-JAN-1211.1263
1756ICICI Prudential Banking and PSU Debt Fund - Retail Option - Quarterly Dividend31-JAN-1210.1805
1757ICICI Prudential Banking and PSU Debt Fund - Retail Option - Weekly Dividend31-JAN-1210.0154
1758ICICI Prudential Blended Plan A - Dividend31-JAN-1211.8964
1759ICICI Prudential Blended Plan A - Growth31-JAN-1215.9367
1760ICICI Prudential Blended Plan B - Option I - Daily Dividend31-JAN-1210.0075
1761ICICI Prudential Blended Plan B - Option I - Dividend31-JAN-1213.0478
1762ICICI Prudential Blended Plan B - Option I - Growth31-JAN-1215.7710
1763ICICI Prudential Blended Plan B - Option I - Monthly Dividend31-JAN-1210.0111
1764ICICI Prudential Blended Plan B - Option II - Daily Dividend31-JAN-1210.0075
1765ICICI Prudential Blended Plan B - Option II - Dividend31-JAN-1211.0853
1766ICICI Prudential Blended Plan B - Option II - Growth31-JAN-1211.3952
1767ICICI Prudential Blended Plan B - Option II - Monthly Dividend31-JAN-1210.0122
1768ICICI Prudential Capital Protection Oriented Fund - Series I - Dividend31-JAN-1210.3751
1769ICICI Prudential Capital Protection Oriented Fund - Series I - Growth31-JAN-1210.3751
1770ICICI Prudential Capital Protection Oriented Fund - Series II - Dividend31-JAN-1210.3365
1771ICICI Prudential Capital Protection Oriented Fund - Series II - Growth31-JAN-1210.3365
1772ICICI Prudential Capital Protection Oriented Fund - Series III - Dividend31-JAN-1210.2582
1773ICICI Prudential Capital Protection Oriented Fund - Series III - Growth31-JAN-1210.2582
1774ICICI Prudential Capital Protection Oriented Fund - Series IV - Dividend01-FEB-1210.2955
1775ICICI Prudential Capital Protection Oriented Fund - Series IV - Growth01-FEB-1210.2955
1776ICICI Prudential Capital Protection Oriented Fund - Series V - 60 Months Plan - Dividend01-FEB-1210.4206
1777ICICI Prudential Capital Protection Oriented Fund - Series V - 60 Months Plan - Growth01-FEB-1210.4206
1778ICICI Prudential Capital Protection Oriented Fund II - Series VI - Dividend01-FEB-1210.0525
1779ICICI Prudential Capital Protection Oriented Fund II - Series VI - Growth01-FEB-1210.0525
1780ICICI Prudential Cautious Plan - Dividend31-JAN-1219.6564
1781ICICI Prudential Cautious Plan - Growth31-JAN-1219.6564
1782ICICI Prudential Child Care Gift Plan-Dividend31-JAN-1252.3300
1783ICICI Prudential Child Care Gift Plan-Growth31-JAN-1252.3300
1784ICICI Prudential Child Care Study Plan-Dividend31-JAN-1230.3155
1785ICICI Prudential Child Care Study Plan-Growth31-JAN-1230.3155
1786ICICI Prudential Discovery Fund - Dividend Option31-JAN-1218.1500
1787ICICI Prudential Discovery Fund - FII - Growth31-JAN-1220.3000
1788ICICI Prudential Discovery Fund - Growth Option31-JAN-1245.1200
1789ICICI Prudential Dynamic Plan - Dividend31-JAN-1216.5963
1790ICICI Prudential Dynamic Plan - Growth31-JAN-12101.3427
1791ICICI Prudential Dynamic Plan - Institutional Option - Growth31-JAN-12 9.4566
1792ICICI Prudential Dynamic Plan - Institutional Option - I - Growth31-JAN-1216.0200
1793ICICI Prudential Equity and Derivatives Fund - Income Optimiser - Institutional - Dividend31-JAN-1212.0700
1794ICICI Prudential Equity and Derivatives Fund - Income Optimiser - Institutional - Growth31-JAN-1214.4700
1795ICICI Prudential Equity and Derivatives Fund - Income Optimiser - Retail - Dividend31-JAN-1211.8900
1796ICICI Prudential Equity and Derivatives Fund - Income Optimiser - Retail - Growth31-JAN-1214.3000
1797ICICI Prudential Equity and Derivatives Fund - Volatility Advantage Plan - Regular - Dividend31-JAN-1212.0600
1798ICICI Prudential Equity and Derivatives Fund - Volatility Advantage Plan - Regular - Growth31-JAN-1213.7800
1799ICICI Prudential FMCG Fund- Growth31-JAN-1276.4300
1800ICICI Prudential FMCG Fund-Dividend31-JAN-1241.3100
1801ICICI Prudential FMP - Series 49 - 3 Year Plan A - Institutional - Dividend01-FEB-1210.4291
1802ICICI Prudential FMP - Series 49 - 3 Year Plan A - Institutional - Growth01-FEB-1211.9654
1803ICICI Prudential FMP - Series 49 - 3 Year Plan A - Retail - Dividend01-FEB-1210.4170
1804ICICI Prudential FMP - Series 49 - 3 Year Plan A - Retail - Growth01-FEB-1211.8710
1805ICICI Prudential FMP - Series 49 - 3 Year Plan B - Institutional - Growth01-FEB-1211.7442
1806ICICI Prudential FMP - Series 49 - 3 Year Plan B - Retail - Dividend01-FEB-1210.2012
1807ICICI Prudential FMP - Series 49 - 3 Year Plan B - Retail - Growth01-FEB-1211.6685
1808ICICI Prudential FMP - Series 50 - 24 Months - Plan - A - Dividend01-FEB-1211.2753
1809ICICI Prudential FMP - Series 50 - 24 Months - Plan - A - Growth01-FEB-1211.2753
1810ICICI Prudential FMP - Series 50 - 24 Months - Plan - B - Dividend01-FEB-1211.3287
1811ICICI Prudential FMP - Series 50 - 24 Months - Plan - B - Growth01-FEB-1211.3287
1812ICICI Prudential FMP - Series 51 - 3 Years Plan F - Dividend01-FEB-1210.3674
1813ICICI Prudential FMP - Series 51 - 3 Years Plan F - Growth01-FEB-1211.3473
1814ICICI Prudential FMP - Series 53 - 18 Months - Plan - A - Dividend31-JAN-1210.9632
1815ICICI Prudential FMP - Series 53 - 18 Months - Plan - A - Growth01-FEB-1210.9647
1816ICICI Prudential FMP - Series 53 - 3 Years Plan A - Dividend31-JAN-1210.3627
1817ICICI Prudential FMP - Series 53 - 3 Years Plan A - Growth31-JAN-1211.0140
1818ICICI Prudential FMP - Series 53 - 3 Years Plan B - Dividend31-JAN-1210.0967
1819ICICI Prudential FMP - Series 53 - 3 Years Plan B - Growth31-JAN-1210.9512
1820ICICI Prudential FMP - Series 54 - 1 Year Plan A - Dividend01-FEB-1210.8163
1821ICICI Prudential FMP - Series 54 - 1 Year Plan A - Growth01-FEB-1210.8163
1822ICICI Prudential FMP - Series 54 - 1 Year Plan B - Dividend01-FEB-1210.7975
1823ICICI Prudential FMP - Series 54 - 1 Year Plan B - Growth01-FEB-1210.7975
1824ICICI Prudential FMP - Series 54 - 1 Year Plan C - Dividend01-FEB-1210.7352
1825ICICI Prudential FMP - Series 54 - 1 Year Plan C - Growth01-FEB-1210.7352
1826ICICI Prudential FMP - Series 54 - 1 Year Plan D - Dividend01-FEB-1210.6701
1827ICICI Prudential FMP - Series 54 - 1 Year Plan D - Growth01-FEB-1210.7346
1828ICICI Prudential FMP - Series 54 - 18 Months - Plan - A - Dividend31-JAN-1211.0244
1829ICICI Prudential FMP - Series 54 - 18 Months - Plan - A - Growth01-FEB-1211.0259
1830ICICI Prudential FMP - Series 54 - 24 Months - Plan - A - Dividend31-JAN-1210.9303
1831ICICI Prudential FMP - Series 54 - 24 Months - Plan - A - Growth01-FEB-1210.9330
1832ICICI Prudential FMP - Series 55 - 1 Year Plan A - Dividend31-JAN-1210.1130
1833ICICI Prudential FMP - Series 55 - 1 Year Plan A - Growth31-JAN-1210.9590
1834ICICI Prudential FMP - Series 55 - 1 Year Plan B - Dividend31-JAN-1210.9434
1835ICICI Prudential FMP - Series 55 - 1 Year Plan B - Growth31-JAN-1210.9434
1836ICICI Prudential FMP - Series 55 - 1 Year Plan C - Dividend01-FEB-1210.1053
1837ICICI Prudential FMP - Series 55 - 1 Year Plan C - Growth31-JAN-1210.9115
1838ICICI Prudential FMP - Series 55 - 1 Year Plan D - Dividend01-FEB-1210.9134
1839ICICI Prudential FMP - Series 55 - 1 Year Plan D - Growth01-FEB-1210.9134
1840ICICI Prudential FMP - Series 55 - 1 Year Plan E - Dividend01-FEB-1210.9031
1841ICICI Prudential FMP - Series 55 - 1 Year Plan E - Growth01-FEB-1210.9031
1842ICICI Prudential FMP - Series 55 - 1 Year Plan F - Dividend31-JAN-1210.6883
1843ICICI Prudential FMP - Series 55 - 1 Year Plan F - Growth31-JAN-1210.8912
1844ICICI Prudential FMP - Series 55 - 1 Year Plan G - Dividend31-JAN-1210.6654
1845ICICI Prudential FMP - Series 55 - 1 Year Plan G - Growth31-JAN-1210.6654
1846ICICI Prudential FMP - Series 55 - 1 Year Plan H - Dividend31-JAN-1210.5768
1847ICICI Prudential FMP - Series 55 - 1 Year Plan H - Growth31-JAN-1210.5768
1848ICICI Prudential FMP - Series 55 - 13 Months - Plan - A - Dividend01-FEB-1210.8685
1849ICICI Prudential FMP - Series 55 - 13 Months - Plan - A - Growth31-JAN-1210.8658
1850ICICI Prudential FMP - Series 55 - 13 Months - Plan - B - Dividend01-FEB-1210.8233
1851ICICI Prudential FMP - Series 55 - 13 Months - Plan - B - Growth01-FEB-1210.8233
1852ICICI Prudential FMP - Series 55 - 14 Months - Plan - A - Growth01-FEB-1210.8123
1853ICICI Prudential FMP - Series 55 - 14 Months - Plan - B - Dividend01-FEB-1210.8959
1854ICICI Prudential FMP - Series 55 - 14 Months - Plan - B - Growth01-FEB-1210.8959
1855ICICI Prudential FMP - Series 55 - 15 Months - Plan - A - Dividend01-FEB-1210.9469
1856ICICI Prudential FMP - Series 55 - 15 Months - Plan - A - Growth01-FEB-1210.9469
1857ICICI Prudential FMP - Series 55 - 15 Months - Plan - B - Dividend31-JAN-1210.9001
1858ICICI Prudential FMP - Series 55 - 15 Months - Plan - B - Growth01-FEB-1210.9022
1859ICICI Prudential FMP - Series 55 - 16 Months - Plan - A - Dividend01-FEB-1210.9174
1860ICICI Prudential FMP - Series 55 - 16 Months - Plan - A - Growth01-FEB-1210.9174
1861ICICI Prudential FMP - Series 55 - 16 Months - Plan - B - Dividend01-FEB-1210.1081
1862ICICI Prudential FMP - Series 55 - 16 Months - Plan - B - Growth01-FEB-1210.6208
1863ICICI Prudential FMP - Series 56 - 1 Year Plan A - Dividend01-FEB-1210.8630
1864ICICI Prudential FMP - Series 56 - 1 Year Plan A - Growth01-FEB-1210.8630
1865ICICI Prudential FMP - Series 56 - 1 Year Plan B - Dividend01-FEB-1210.8479
1866ICICI Prudential FMP - Series 56 - 1 Year Plan B - Growth01-FEB-1210.8479
1867ICICI Prudential FMP - Series 56 - 1 Year Plan C - Dividend01-FEB-1210.6916
1868ICICI Prudential FMP - Series 56 - 1 Year Plan C - Growth01-FEB-1210.6916
1869ICICI Prudential FMP - Series 56 - 1 Year Plan D - Dividend01-FEB-1210.8489
1870ICICI Prudential FMP - Series 56 - 1 Year Plan D - Growth01-FEB-1210.8489
1871ICICI Prudential FMP - Series 56 - 1 Year Plan E - Dividend01-FEB-1210.7163
1872ICICI Prudential FMP - Series 56 - 1 Year Plan E - Growth01-FEB-1210.7163
1873ICICI Prudential FMP - Series 56 - 1 Year Plan F - Dividend01-FEB-1210.6440
1874ICICI Prudential FMP - Series 56 - 1 Year Plan F - Growth01-FEB-1210.6440
1875ICICI Prudential FMP - Series 57 - 1 Year Plan A - Dividend01-FEB-1210.6604
1876ICICI Prudential FMP - Series 57 - 1 Year Plan A - Growth01-FEB-1210.6604
1877ICICI Prudential FMP - Series 57 - 1 Year Plan B - Dividend01-FEB-1210.6090
1878ICICI Prudential FMP - Series 57 - 1 Year Plan B - Growth01-FEB-1210.6090
1879ICICI Prudential FMP - Series 57 - 1 Year Plan C - Dividend01-FEB-1210.4778
1880ICICI Prudential FMP - Series 57 - 1 Year Plan C - Growth01-FEB-1210.4778
1881ICICI Prudential FMP - Series 57 - 1 Year Plan D - Dividend01-FEB-1210.3815
1882ICICI Prudential FMP - Series 57 - 1 Year Plan D - Growth01-FEB-1210.3815
1883ICICI Prudential FMP - Series 57 - 3 Year Plan A - Dividend01-FEB-1210.4274
1884ICICI Prudential FMP - Series 57 - 3 Year Plan A - Growth01-FEB-1210.4274
1885ICICI Prudential FMP - Series 57 - 3 Year Plan B - Dividend01-FEB-1210.3668
1886ICICI Prudential FMP - Series 57 - 3 Year Plan B - Growth01-FEB-1210.3668
1887ICICI Prudential FMP - Series 57 - 3 Year Plan C - Dividend01-FEB-1210.3309
1888ICICI Prudential FMP - Series 57 - 3 Year Plan C - Growth01-FEB-1210.3309
1889ICICI Prudential FMP - Series 58 - 1 Year Plan B - Dividend01-FEB-1210.4374
1890ICICI Prudential FMP - Series 58 - 1 Year Plan B - Growth01-FEB-1210.4374
1891ICICI Prudential FMP - Series 58 - 19 Months - Plan - F - Dividend31-JAN-1210.3537
1892ICICI Prudential FMP - Series 58 - 19 Months - Plan - F - Growth31-JAN-1210.3537
1893ICICI Prudential FMP - Series 58 - 2 Year Plan A - Dividend01-FEB-1210.6063
1894ICICI Prudential FMP - Series 58 - 2 Year Plan A - Growth01-FEB-1210.6063
1895ICICI Prudential FMP - Series 58 - 2 Year Plan C - Dividend01-FEB-1210.5276
1896ICICI Prudential FMP - Series 58 - 2 Year Plan C - Growth01-FEB-1210.5276
1897ICICI Prudential FMP - Series 58 - 2 Year Plan D - Dividend01-FEB-1210.4064
1898ICICI Prudential FMP - Series 58 - 2 Year Plan D - Growth01-FEB-1210.4064
1899ICICI Prudential FMP - Series 58 - 2 Year Plan E - Dividend01-FEB-1210.4402
1900ICICI Prudential FMP - Series 58 - 2 Year Plan E - Growth01-FEB-1210.4402
1901ICICI Prudential FMP - Series 59 - 1 Year Plan A - Dividend01-FEB-1210.4599
1902ICICI Prudential FMP - Series 59 - 1 Year Plan A - Growth01-FEB-1210.4599
1903ICICI Prudential FMP - Series 59 - 1 Year Plan B - Dividend01-FEB-1210.3656
1904ICICI Prudential FMP - Series 59 - 1 Year Plan B - Growth01-FEB-1210.3656
1905ICICI Prudential FMP - Series 59 - 1 Year Plan C - Dividend01-FEB-1210.2845
1906ICICI Prudential FMP - Series 59 - 1 Year Plan C - Growth01-FEB-1210.2845
1907ICICI Prudential FMP - Series 59 - 1 Year Plan D - Dividend01-FEB-1210.3124
1908ICICI Prudential FMP - Series 59 - 1 Year Plan D - Growth01-FEB-1210.3124
1909ICICI Prudential FMP - Series 59 - 1 Year Plan E - Dividend01-FEB-1210.3012
1910ICICI Prudential FMP - Series 59 - 1 Year Plan E - Growth01-FEB-1210.3012
1911ICICI Prudential FMP - Series 59 - 1 Year Plan F - Dividend01-FEB-1210.0923
1912ICICI Prudential FMP - Series 59 - 1 Year Plan F - Growth01-FEB-1210.0923
1913ICICI Prudential FMP - Series 60 - 1 Year Plan D - Dividend30-JAN-1210.1546
1914ICICI Prudential FMP - Series 60 - 1 Year Plan D - Growth30-JAN-1210.1546
1915ICICI Prudential FMP - Series 60 - 1 Year Plan F - Dividend01-FEB-1210.1106
1916ICICI Prudential FMP - Series 60 - 1 Year Plan F - Growth01-FEB-1210.1106
1917ICICI Prudential FMP - Series 60 - 1 Year Plan J - Dividend01-FEB-1210.0630
1918ICICI Prudential FMP - Series 60 - 1 Year Plan J - Growth01-FEB-1210.0630
1919ICICI Prudential FMP - Series 60 - 18 Months - Plan - A - Dividend01-FEB-1210.3128
1920ICICI Prudential FMP - Series 60 - 18 Months - Plan - A - Growth01-FEB-1210.3128
1921ICICI Prudential FMP - Series 60 - 18 Months - Plan - B - Dividend30-JAN-1210.2567
1922ICICI Prudential FMP - Series 60 - 18 Months - Plan - B - Growth31-JAN-1210.2651
1923ICICI Prudential FMP - Series 60 - 18 Months - Plan - C - Dividend31-JAN-1210.2173
1924ICICI Prudential FMP - Series 60 - 18 Months - Plan - C - Growth30-JAN-1210.2086
1925ICICI Prudential FMP - Series 60 - 18 Months - Plan - G - Dividend01-FEB-1210.1526
1926ICICI Prudential FMP - Series 60 - 18 Months - Plan - G - Growth01-FEB-1210.1526
1927ICICI Prudential FMP - Series 60 - 27 Months - Plan - I - Dividend31-JAN-1210.0433
1928ICICI Prudential FMP - Series 60 - 27 Months - Plan - I - Growth31-JAN-1210.0433
1929ICICI Prudential FMP - Series 60 - 3 Year Plan E - Dividend01-FEB-1210.2037
1930ICICI Prudential FMP - Series 60 - 3 Year Plan E - Growth31-JAN-1210.1881
1931ICICI Prudential FMP - Series 61 - 1 Year Plan C - Dividend01-FEB-1210.0213
1932ICICI Prudential FMP - Series 61 - 1 Year Plan C - Growth01-FEB-1210.0213
1933ICICI Prudential FMP - Series 61 - 18 Months - Plan - B - Dividend01-FEB-1210.0604
1934ICICI Prudential FMP - Series 61 - 18 Months - Plan - B - Growth01-FEB-1210.0604
1935ICICI Prudential FMP - Series 61 - 27 Months - Plan - D - Dividend01-FEB-1210.0225
1936ICICI Prudential FMP - Series 61 - 27 Months - Plan - D - Growth01-FEB-1210.0225
1937ICICI Prudential Flexible Income Plan - Institutional Option I - Growth17-SEP-0910.0110
1938ICICI Prudential Flexible Income Plan - Premium - Daily Dividend31-JAN-12105.7350
1939ICICI Prudential Flexible Income Plan - Premium - Growth31-JAN-12197.0897
1940ICICI Prudential Flexible Income Plan - Premium - Weekly Dividend31-JAN-12105.4589
1941ICICI Prudential Flexible Income Plan - Regular - Daily Dividend31-JAN-12100.3033
1942ICICI Prudential Flexible Income Plan - Regular - Growth31-JAN-12119.0566
1943ICICI Prudential Flexible Income Plan - Regular - Weekly Dividend31-JAN-12100.3951
1944ICICI Prudential Floating Rate Plan - Plan D - Daily Dividend31-JAN-12100.0380
1945ICICI Prudential Floating Rate Plan - Plan D - Fortnightly Dividend31-JAN-12100.2225
1946ICICI Prudential Floating Rate Plan - Plan D - Growth31-JAN-12156.7582
1947ICICI Prudential Floating Rate Plan - Plan D - Weekly Dividend11-JUL-11100.2686
1948ICICI Prudential Floating Rate Plan A - Daily Dividend31-JAN-12100.0724
1949ICICI Prudential Floating Rate Plan A - Fortnightly Dividend31-JAN-12100.7161
1950ICICI Prudential Floating Rate Plan A - Growth31-JAN-12160.5143
1951ICICI Prudential Floating Rate Plan A - Weekly Dividend31-JAN-12100.1189
1952ICICI Prudential Floating Rate Plan B - Daily Dividend31-JAN-12100.0724
1953ICICI Prudential Floating Rate Plan B - Fortnightly Dividend31-JAN-12101.0878
1954ICICI Prudential Floating Rate Plan B - Growth30-JAN-12173.3863
1955ICICI Prudential Floating Rate Plan B - Weekly Dividend31-JAN-12100.1184
1956ICICI Prudential Floating Rate Plan C - Daily Dividend31-JAN-12100.0724
1957ICICI Prudential Floating Rate Plan C - Dividend31-JAN-12100.7191
1958ICICI Prudential Floating Rate Plan C - Growth31-JAN-12163.9898
1959ICICI Prudential Floating Rate Plan C - Weekly Dividend31-JAN-12100.1211
1960ICICI Prudential Focused Bluechip Equity Fund - Institutional Option - I - Growth31-JAN-1216.4100
1961ICICI Prudential Focused Bluechip Equity Fund - Retail - Dividend31-JAN-1215.1800
1962ICICI Prudential Focused Bluechip Equity Fund - Retail - Growth31-JAN-1215.9100
1963ICICI Prudential Gilt Treasury Plan - PF - Growth31-JAN-1217.0870
1964ICICI Prudential Gilt Treasury Plan - PF - Half Yearly Dividend05-JAN-1211.1753
1965ICICI Prudential Gilt Treasury Plan - PF - Yearly Dividend21-SEP-0710.4101
1966ICICI Prudential Gilt fund Investment Plan - Dividend31-JAN-1213.0037
1967ICICI Prudential Gilt fund Investment Plan - Growth31-JAN-1235.6978
1968ICICI Prudential Gilt fund Investment Plan - PF - Growth31-JAN-1220.3038
1969ICICI Prudential Gilt fund Treasury Plan - Dividend31-JAN-1212.0115
1970ICICI Prudential Gilt fund Treasury Plan - Growth31-JAN-1226.7759
1971ICICI Prudential Gilt fund Treasury Plan - Half Yearly Dividend31-JAN-1211.2100
1972ICICI Prudential Gold Exchange Traded Fund31-JAN-122800.1943
1973ICICI Prudential Income Opportunities Fund - Institutional - Growth31-JAN-1212.5290
1974ICICI Prudential Income Opportunities Fund - Institutional - Monthly Dividend31-JAN-1210.4673
1975ICICI Prudential Income Opportunities Fund - Institutional - Quarterly Dividend31-JAN-1211.2544
1976ICICI Prudential Income Opportunities Fund - Retail - Growth31-JAN-1214.3729
1977ICICI Prudential Income Opportunities Fund - Retail - Monthly Dividend31-JAN-1211.2377
1978ICICI Prudential Income Opportunities Fund - Retail - Quarterly Dividend31-JAN-1210.8893
1979ICICI Prudential Income Plan - Dividend31-JAN-1211.9716
1980ICICI Prudential Income Plan - Growth31-JAN-1233.3444
1981ICICI Prudential Income Plan - Institutional Plan - Dividend31-JAN-1211.5194
1982ICICI Prudential Income Plan - Institutional Plan - Growth31-JAN-1235.0706
1983ICICI Prudential Income Plan - Institutional Plan - Quarterly31-JAN-1212.0508
1984ICICI Prudential Income Plan - Quarterly Dividend30-JAN-1212.8243
1985ICICI Prudential Index Fund - Institutional Option I - Growth31-JAN-12 9.8999
1986ICICI Prudential Index-Nifty Plan-Dividend31-JAN-1248.7188
1987ICICI Prudential Index-Nifty Plan-Growth31-JAN-1248.7188
1988ICICI Prudential Indo Asia Equity Fund - Institutional - Growth31-JAN-1210.3600
1989ICICI Prudential Indo Asia Equity Fund - Retail - Dividend31-JAN-1210.3600
1990ICICI Prudential Indo Asia Equity Fund - Retail - Growth31-JAN-1210.3600
1991ICICI Prudential Infrastructure Fund - Dividend31-JAN-1210.1600
1992ICICI Prudential Infrastructure Fund - Growth31-JAN-1225.2300
1993ICICI Prudential Infrastructure Fund - Institutional Option - Dividend27-JAN-1211.2300
1994ICICI Prudential Infrastructure Fund - Institutional Option - I - Growth31-JAN-1213.8100
1995ICICI Prudential Interval Fund - Annual Interval Plan - I - Institutional - Dividend31-JAN-1210.3615
1996ICICI Prudential Interval Fund - Annual Interval Plan - I - Institutional - Growth31-JAN-1211.1828
1997ICICI Prudential Interval Fund - Annual Interval Plan - I - Retail - Dividend31-JAN-1210.3436
1998ICICI Prudential Interval Fund - Annual Interval Plan - I - Retail - Growth31-JAN-1214.0559
1999ICICI Prudential Interval Fund - Annual Interval Plan - II - Institutional - Dividend31-JAN-1210.2640
2000ICICI Prudential Interval Fund - Annual Interval Plan - II - Institutional - Growth31-JAN-1214.1804
2001ICICI Prudential Interval Fund - Annual Interval Plan - II - Retail - Dividend31-JAN-1210.4299
2002ICICI Prudential Interval Fund - Annual Interval Plan - II - Retail - Growth31-JAN-1213.8000
2003ICICI Prudential Interval Fund - Annual Interval Plan - III - Institutional - Dividend31-JAN-1210.2371
2004ICICI Prudential Interval Fund - Annual Interval Plan - III - Institutional - Growth31-JAN-1211.0922
2005ICICI Prudential Interval Fund - Annual Interval Plan - III - Retail - Dividend31-JAN-1210.3298
2006ICICI Prudential Interval Fund - Annual Interval Plan - III - Retail - Growth31-JAN-1213.7749
2007ICICI Prudential Interval Fund - Annual Interval Plan - IV - Institutional - Dividend31-JAN-1210.1621
2008ICICI Prudential Interval Fund - Annual Interval Plan - IV - Institutional - Growth31-JAN-1212.8328
2009ICICI Prudential Interval Fund - Annual Interval Plan - IV - Retail - Dividend31-JAN-1210.1620
2010ICICI Prudential Interval Fund - Annual Interval Plan - IV - Retail - Growth31-JAN-1213.6905
2011ICICI Prudential Interval Fund - Half Yearly Interval Plan - I - Institutional - Dividend13-APR-1110.0141
2012ICICI Prudential Interval Fund - Half Yearly Interval Plan - I - Institutional - Growth13-APR-1110.4011
2013ICICI Prudential Interval Fund - Half Yearly Interval Plan - I - Retail - Dividend13-APR-1110.0139
2014ICICI Prudential Interval Fund - Half Yearly Interval Plan - I - Retail - Growth13-APR-1112.5454
2015ICICI Prudential Interval Fund - Half Yearly Interval Plan - II - Institutional - Dividend31-JAN-1210.1980
2016ICICI Prudential Interval Fund - Half Yearly Interval Plan - II - Institutional - Growth31-JAN-1211.1236
2017ICICI Prudential Interval Fund - Half Yearly Interval Plan - II - Retail - Dividend31-JAN-1210.1900
2018ICICI Prudential Interval Fund - Half Yearly Interval Plan - II - Retail - Growth31-JAN-1213.2800
2019ICICI Prudential Interval Fund - II - Quarterly Interval Plan - A - Institutional - Dividend31-JAN-1210.0023
2020ICICI Prudential Interval Fund - II - Quarterly Interval Plan - A - Institutional - Growth31-JAN-1211.3202
2021ICICI Prudential Interval Fund - II - Quarterly Interval Plan - A - Retail - Dividend31-JAN-1210.0032
2022ICICI Prudential Interval Fund - II - Quarterly Interval Plan - A - Retail - Growth31-JAN-1213.7154
2023ICICI Prudential Interval Fund - II - Quarterly Interval Plan - B - Institutional - Dividend31-JAN-1210.1548
2024ICICI Prudential Interval Fund - II - Quarterly Interval Plan - B - Institutional - Growth31-JAN-1211.2681
2025ICICI Prudential Interval Fund - II - Quarterly Interval Plan - B - Retail - Dividend31-JAN-1210.1658
2026ICICI Prudential Interval Fund - II - Quarterly Interval Plan - B - Retail - Growth31-JAN-1213.3923
2027ICICI Prudential Interval Fund - II - Quarterly Interval Plan - C - Institutional - Dividend31-JAN-1210.1623
2028ICICI Prudential Interval Fund - II - Quarterly Interval Plan - C - Institutional - Growth31-JAN-1210.6747
2029ICICI Prudential Interval Fund - II - Quarterly Interval Plan - C - Retail - Dividend31-JAN-1210.1578
2030ICICI Prudential Interval Fund - II - Quarterly Interval Plan - C - Retail - Growth31-JAN-1213.8150
2031ICICI Prudential Interval Fund - II - Quarterly Interval Plan - D - Institutional - Dividend31-JAN-1210.1341
2032ICICI Prudential Interval Fund - II - Quarterly Interval Plan - D - Institutional - Growth31-JAN-1211.3181
2033ICICI Prudential Interval Fund - II - Quarterly Interval Plan - D - Institutional - Quarterly Dividend31-JAN-1210.1341
2034ICICI Prudential Interval Fund - II - Quarterly Interval Plan - D - Retail - Dividend31-JAN-1210.2072
2035ICICI Prudential Interval Fund - II - Quarterly Interval Plan - D - Retail - Growth31-JAN-1214.6485
2036ICICI Prudential Interval Fund - II - Quarterly Interval Plan - E - Institutional - Dividend15-DEC-0810.2805
2037ICICI Prudential Interval Fund - II - Quarterly Interval Plan - E - Retail - Dividend14-SEP-0910.1145
2038ICICI Prudential Interval Fund - II - Quarterly Interval Plan - E - Retail - Growth14-SEP-0911.7892
2039ICICI Prudential Interval Fund - II - Quarterly Interval Plan - F - Institutional - Dividend31-JAN-1210.0818
2040ICICI Prudential Interval Fund - II - Quarterly Interval Plan - F - Institutional - Growth31-JAN-1211.5750
2041ICICI Prudential Interval Fund - II - Quarterly Interval Plan - F - Retail - Dividend31-JAN-1210.1496
2042ICICI Prudential Interval Fund - II - Quarterly Interval Plan - F - Retail - Growth31-JAN-1213.3209
2043ICICI Prudential Interval Fund - II - Quarterly Interval Plan - F - Retail - Quarterly Dividend31-JAN-1210.3175
2044ICICI Prudential Interval Fund - IV - Quarterly Interval Plan A - Retail - Dividend28-MAY-0910.0663
2045ICICI Prudential Interval Fund - IV - Quarterly Interval Plan A - Retail - Growth28-MAY-0910.5448
2046ICICI Prudential Interval Fund - IV - Quarterly Interval Plan B - Institutional - Dividend31-JAN-1210.0921
2047ICICI Prudential Interval Fund - IV - Quarterly Interval Plan B - Institutional - Growth31-JAN-1211.6180
2048ICICI Prudential Interval Fund - IV - Quarterly Interval Plan B - Retail - Dividend31-JAN-1210.0893
2049ICICI Prudential Interval Fund - IV - Quarterly Interval Plan B - Retail - Growth31-JAN-1212.7558
2050ICICI Prudential Interval Fund - IV - Quarterly Interval Plan C - Institutional - Dividend07-JAN-0910.3083
2051ICICI Prudential Interval Fund - IV - Quarterly Interval Plan C - Institutional - Growth07-JAN-0910.3083
2052ICICI Prudential Interval Fund - IV - Quarterly Interval Plan C - Retail - Dividend07-JAN-1010.0596
2053ICICI Prudential Interval Fund - IV - Quarterly Interval Plan C - Retail - Growth07-JAN-1010.9177
2054ICICI Prudential Interval Fund - IV - Quarterly Interval Plan D - Retail - Dividend29-JAN-0910.0865
2055ICICI Prudential Interval Fund - IV - Quarterly Interval Plan D - Retail - Growth29-JAN-0910.0865
2056ICICI Prudential Interval Fund - IV - Quarterly Interval Plan E - Retail - Dividend19-JUN-0910.0000
2057ICICI Prudential Interval Fund - IV - Quarterly Interval Plan E - Retail - Growth19-JUN-0910.1008
2058ICICI Prudential Interval Fund - Monthly Interval Plan - I - Institutional - Dividend31-JAN-1210.0692
2059ICICI Prudential Interval Fund - Monthly Interval Plan - I - Institutional - Growth31-JAN-1210.4751
2060ICICI Prudential Interval Fund - Monthly Interval Plan - I - Retail - Dividend31-JAN-1210.0671
2061ICICI Prudential Interval Fund - Monthly Interval Plan - I - Retail - Growth31-JAN-1213.8499
2062ICICI Prudential Interval Fund - Monthly Interval Plan - II - Retail - Dividend25-FEB-0810.1516
2063ICICI Prudential Interval Fund - Monthly Interval Plan - II - Retail - Growth25-FEB-0810.6319
2064ICICI Prudential Interval Fund - Monthly Interval Plan - III - Institutional - Dividend29-JAN-0910.0586
2065ICICI Prudential Interval Fund - Monthly Interval Plan - III - Institutional - Growth29-DEC-0810.3502
2066ICICI Prudential Interval Fund - Monthly Interval Plan - III - Retail - Dividend29-JUN-0910.0485
2067ICICI Prudential Interval Fund - Monthly Interval Plan - III - Retail - Growth29-JUN-0910.7473
2068ICICI Prudential Interval Fund - Quarterly Interval Plan - 1 - Institutional - Dividend31-JAN-1210.1398
2069ICICI Prudential Interval Fund - Quarterly Interval Plan - 1 - Institutional - Growth31-JAN-1211.2681
2070ICICI Prudential Interval Fund - Quarterly Interval Plan - 1 - Retail - Dividend31-JAN-1210.1408
2071ICICI Prudential Interval Fund - Quarterly Interval Plan - 1 - Retail - Growth31-JAN-1214.1702
2072ICICI Prudential Interval Fund - Quarterly Interval Plan - 1 - Retail - Quarterly Dividend31-JAN-1210.1398
2073ICICI Prudential Interval Fund - Quarterly Interval Plan - II - Institutional - Dividend31-JAN-1210.1100
2074ICICI Prudential Interval Fund - Quarterly Interval Plan - II - Institutional - Growth31-JAN-1212.7092
2075ICICI Prudential Interval Fund - Quarterly Interval Plan - II - Retail - Dividend31-JAN-1210.1327
2076ICICI Prudential Interval Fund - Quarterly Interval Plan - II - Retail - Growth31-JAN-1214.0673
2077ICICI Prudential Interval Fund - Quarterly Interval Plan - II - Retail - Quarterly Dividend31-JAN-1210.1065
2078ICICI Prudential Interval Fund - Quarterly Interval Plan - III - Institutional - Dividend31-JAN-1210.0204
2079ICICI Prudential Interval Fund - Quarterly Interval Plan - III - Institutional - Growth31-JAN-1211.3264
2080ICICI Prudential Interval Fund - Quarterly Interval Plan - III - Retail - Dividend31-JAN-1210.0199
2081ICICI Prudential Interval Fund - Quarterly Interval Plan - III - Retail - Growth31-JAN-1213.5440
2082ICICI Prudential Interval Fund - V - Monthly Interval Plan - A - Institutional - Dividend31-JAN-1210.0801
2083ICICI Prudential Interval Fund - V - Monthly Interval Plan - A - Institutional - Growth31-JAN-1211.4275
2084ICICI Prudential Interval Fund - V - Monthly Interval Plan - A - Retail - Dividend31-JAN-1210.0797
2085ICICI Prudential Interval Fund - V - Monthly Interval Plan - A - Retail - Growth31-JAN-1212.5525
2086ICICI Prudential Interval Fund - V - Monthly Interval Plan - B - Retail - Dividend09-OCT-0910.0000
2087ICICI Prudential Interval Fund - V - Monthly Interval Plan - B - Retail - Growth09-OCT-0910.3153
2088ICICI Prudential Interval Fund - V - Monthly Interval Plan - C - Retail - Dividend19-JAN-0910.0745
2089ICICI Prudential Interval Fund - V - Monthly Interval Plan - C - Retail - Growth19-JAN-0910.0745
2090ICICI Prudential Interval Fund - V - Monthly Interval Plan - D - Retail - Dividend21-APR-0910.0100
2091ICICI Prudential Interval Fund - V - Monthly Interval Plan - D - Retail - Growth21-APR-0910.2152
2092ICICI Prudential Liquid - Super Institutional - Daily Dividend31-JAN-12100.0226
2093ICICI Prudential Liquid - Super Institutional - Dividend Others10-JUL-11100.0710
2094ICICI Prudential Liquid - Super Institutional - Growth31-JAN-12156.1220
2095ICICI Prudential Liquid - Super Institutional - Monthly Dividend15-JAN-12100.4394
2096ICICI Prudential Liquid - Super Institutional - Weekly Dividend31-JAN-12100.1838
2097ICICI Prudential Liquid Plan - Daily Dividend31-JAN-12118.5140
2098ICICI Prudential Liquid Plan - Growth31-JAN-12251.9380
2099ICICI Prudential Liquid Plan - Half Yearly Dividend31-JAN-12103.0087
2100ICICI Prudential Liquid Plan - Institutional - Annual Dividend05-OCT-0910.0530
2101ICICI Prudential Liquid Plan - Institutional - Daily Dividend31-JAN-12118.5020
2102ICICI Prudential Liquid Plan - Institutional - Dividend31-JAN-12118.4797
2103ICICI Prudential Liquid Plan - Institutional - Growth31-JAN-12257.6023
2104ICICI Prudential Liquid Plan - Institutional - Monthly31-MAY-11100.1765
2105ICICI Prudential Liquid Plan - Institutional - Quarterly22-NOV-09100.5443
2106ICICI Prudential Liquid Plan - Institutional Option - I - Growth31-JAN-12152.2689
2107ICICI Prudential Liquid Plan - Institutional Plus - Daily Dividend31-JAN-12118.5150
2108ICICI Prudential Liquid Plan - Institutional Plus - Growth31-JAN-12259.9584
2109ICICI Prudential Liquid Plan - Institutional Plus - Half Yearly Dividend22-OCT-0618.0031
2110ICICI Prudential Liquid Plan - Institutional Plus - Monthly Dividend17-FEB-11100.4437
2111ICICI Prudential Liquid Plan - Institutional Plus - Weekly Dividend31-JAN-12118.6105
2112ICICI Prudential Liquid Plan - Monthly31-JAN-12100.1324
2113ICICI Prudential Liquid Plan - Quarterly31-JAN-12100.9678
2114ICICI Prudential Liquid Plan - Weekly Dividend31-JAN-12118.8516
2115ICICI Prudential Long Term Floating Rate Plan A - Growth31-JAN-1216.0704
2116ICICI Prudential Long Term Floating Rate Plan A - Monthly Dividend31-JAN-1210.3096
2117ICICI Prudential Long Term Floating Rate Plan A - Quarterly Dividend31-JAN-1210.1787
2118ICICI Prudential Long Term Floating Rate Plan A - Weekly Dividend31-JAN-1210.0537
2119ICICI Prudential Long Term Floating Rate Plan B - Growth31-JAN-1216.5840
2120ICICI Prudential Long Term Floating Rate Plan B - Monthly Dividend31-JAN-1210.0407
2121ICICI Prudential Long Term Floating Rate Plan B - Quarterly Dividend31-JAN-1210.0331
2122ICICI Prudential Long Term Floating Rate Plan B - Weekly Dividend31-JAN-1210.0616
2123ICICI Prudential Long Term Floating Rate Plan C - Dividend31-JAN-1210.0710
2124ICICI Prudential Long Term Floating Rate Plan C - Growth13-DEC-1110.3437
2125ICICI Prudential Long Term Floating Rate Plan C - Quarterly Dividend31-JAN-1210.0452
2126ICICI Prudential Long Term Floating Rate Plan C - Weekly Dividend31-JAN-1210.0710
2127ICICI Prudential Long Term Plan - Premium Plan - Annual Dividend18-NOV-1110.4527
2128ICICI Prudential Long Term Plan - Premium Plan - Dividend31-JAN-1211.7746
2129ICICI Prudential Long Term Plan - Premium Plan - Growth31-JAN-1211.3952
2130ICICI Prudential Long Term Plan - Premium Plan - Quarterly Dividend31-JAN-1210.0994
2131ICICI Prudential Long Term Plan - Premium Plus Plan - Annual Dividend14-NOV-1110.4514
2132ICICI Prudential Long Term Plan - Premium Plus Plan - Dividend30-JAN-1211.0139
2133ICICI Prudential Long Term Plan - Premium Plus Plan - Growth31-JAN-1211.4752
2134ICICI Prudential Long Term Plan - Premium Plus Plan - Quarterly Dividend31-JAN-1210.1284
2135ICICI Prudential Long Term Plan - Regular - Annual Dividend16-NOV-1110.4230
2136ICICI Prudential Long Term Plan - Regular - Growth31-JAN-1221.9999
2137ICICI Prudential Long Term Plan - Regular - Quarterly Dividend31-JAN-1210.0999
2138ICICI Prudential Long Term Plan - Regular - Weekly Dividend31-JAN-1210.3831
2139ICICI Prudential MIP 25 - Growth31-JAN-1220.3390
2140ICICI Prudential MIP 25 - Half Yearly Dividend31-JAN-1210.6178
2141ICICI Prudential MIP 25 - Monthly Dividend31-JAN-1211.9451
2142ICICI Prudential MIP 25 - Quarterly Dividend31-JAN-1210.6955
2143ICICI Prudential MIP 5 - Growth31-JAN-1210.5243
2144ICICI Prudential MIP 5 - Half Yearly Dividend31-JAN-1210.1724
2145ICICI Prudential MIP 5 - Monthly Dividend31-JAN-1210.3820
2146ICICI Prudential MIP 5 - Quarterly Dividend31-JAN-1210.1652
2147ICICI Prudential Medium Term Plan - Premium Option - Daily Dividend31-JAN-1210.0002
2148ICICI Prudential Medium Term Plan - Premium Option - Growth31-JAN-1210.3982
2149ICICI Prudential Medium Term Plan - Premium Option - Half Yearly Dividend31-JAN-1210.0895
2150ICICI Prudential Medium Term Plan - Premium Option - Monthly Dividend31-JAN-1210.0171
2151ICICI Prudential Medium Term Plan - Premium Option - Quarterly Dividend31-JAN-1210.1229
2152ICICI Prudential Medium Term Plan - Premium Plus Option - Daily Dividend16-NOV-1110.0005
2153ICICI Prudential Medium Term Plan - Premium Plus Option - Growth31-JAN-1211.6018
2154ICICI Prudential Medium Term Plan - Premium Plus Option - Half Yearly Dividend13-SEP-1010.0082
2155ICICI Prudential Medium Term Plan - Premium Plus Option - Monthly Dividend06-APR-1110.0561
2156ICICI Prudential Medium Term Plan - Premium Plus Option - Quarterly Dividend31-JAN-1210.1208
2157ICICI Prudential Medium Term Plan - Regular Option - Daily Dividend31-JAN-1210.0006
2158ICICI Prudential Medium Term Plan - Regular Option - Growth31-JAN-1211.6652
2159ICICI Prudential Medium Term Plan - Regular Option - Half Yearly Dividend31-JAN-1210.1009
2160ICICI Prudential Medium Term Plan - Regular Option - Monthly Dividend31-JAN-1210.0522
2161ICICI Prudential Medium Term Plan - Regular Option - Quarterly Dividend31-JAN-1210.1160
2162ICICI Prudential Midcap Fund - Dividend31-JAN-1214.0500
2163ICICI Prudential Midcap Fund - Growth31-JAN-1228.2200
2164ICICI Prudential Midcap Fund - Institutional Option I - Growth31-JAN-1211.7100
2165ICICI Prudential Moderate Plan - Dividend31-JAN-1225.6432
2166ICICI Prudential Moderate Plan - Growth31-JAN-1225.6432
2167ICICI Prudential Moderate Plan - NRI - Dividend23-NOV-11 9.7866
2168ICICI Prudential Money Market Fund - Cash Option - Daily Dividend31-JAN-12100.0115
2169ICICI Prudential Money Market Fund - Cash Option - Fortnightly Dividend31-JAN-12100.2322
2170ICICI Prudential Money Market Fund - Cash Option - Growth31-JAN-12146.0050
2171ICICI Prudential Money Market Fund - Cash Option - Monthly Dividend31-JAN-12100.2540
2172ICICI Prudential Money Market Fund - Cash Option - Weekly Dividend31-JAN-12100.0919
2173ICICI Prudential Money Market Fund - Dividend31-JAN-12100.0020
2174ICICI Prudential Money Market Fund - Growth31-JAN-12167.7580
2175ICICI Prudential Monthly Income Plan- AEP Half yearly31-JAN-1226.9606
2176ICICI Prudential Monthly Income Plan- AEP Monthly31-JAN-1226.9606
2177ICICI Prudential Monthly Income Plan- AEP Quarterly31-JAN-1226.9606
2178ICICI Prudential Monthly Income Plan- Cumulative31-JAN-1226.9606
2179ICICI Prudential Monthly Income Plan- Half yearly31-JAN-1212.7252
2180ICICI Prudential Monthly Income Plan- Monthly31-JAN-1211.4733
2181ICICI Prudential Monthly Income Plan- Quarterly31-JAN-1212.4863
2182ICICI Prudential Multiple Yield Fund - Plan A - Dividend31-JAN-1210.4912
2183ICICI Prudential Multiple Yield Fund - Plan A - Growth31-JAN-1210.4912
2184ICICI Prudential Multiple Yield Fund - Plan B - Dividend31-JAN-1210.3353
2185ICICI Prudential Multiple Yield Fund - Plan B - Growth31-JAN-1210.3353
2186ICICI Prudential Multiple Yield Fund - Plan C - Dividend01-FEB-1210.5943
2187ICICI Prudential Multiple Yield Fund - Plan C - Growth31-JAN-1210.5594
2188ICICI Prudential Multiple Yield Fund - Plan D - Dividend01-FEB-1210.5012
2189ICICI Prudential Multiple Yield Fund - Plan D - Growth01-FEB-1210.5012
2190ICICI Prudential Multiple Yield Fund - Plan E - Dividend01-FEB-1210.3578
2191ICICI Prudential Multiple Yield Fund - Plan E - Growth01-FEB-1210.3578
2192ICICI Prudential Multiple Yield Fund - Series 2 - Plan A - Dividend31-JAN-1210.3343
2193ICICI Prudential Multiple Yield Fund - Series 2 - Plan A - Growth01-FEB-1210.3600
2194ICICI Prudential Multiple Yield Fund - Series 2 - Plan C - Dividend31-JAN-1210.3528
2195ICICI Prudential Multiple Yield Fund - Series 2 - Plan C - Growth31-JAN-1210.3528
2196ICICI Prudential Nifty Junior Index Fund - Dividend31-JAN-12 8.7352
2197ICICI Prudential Nifty Junior Index Fund - Growth31-JAN-12 8.7352
2198ICICI Prudential R.I.G.H.T. Fund - Dividend27-JAN-1211.9900
2199ICICI Prudential R.I.G.H.T. Fund - Growth31-JAN-1212.0500
2200ICICI Prudential Regular Gold Savings Fund - Dividend31-JAN-1210.4729
2201ICICI Prudential Regular Gold Savings Fund - Growth31-JAN-1210.4729
2202ICICI Prudential Regular Savings Fund - Growth31-JAN-1211.0330
2203ICICI Prudential Regular Savings Fund - Half Yearly Dividend31-JAN-1210.4256
2204ICICI Prudential Regular Savings Fund - Quarterly Dividend31-JAN-1210.2521
2205ICICI Prudential Services Industries Fund - Dividend Plan31-JAN-1212.2200
2206ICICI Prudential Services Industries Fund - Growth Plan31-JAN-1216.2400
2207ICICI Prudential Short Term Plan - Fortnightly Dividend31-JAN-1211.9372
2208ICICI Prudential Short Term Plan - Monthly Dividend31-JAN-1211.8796
2209ICICI Prudential Short Term Plan-Growth31-JAN-1221.5354
2210ICICI Prudential Short Term Plan-Institutional - Fortnightly Dividend31-JAN-1212.2720
2211ICICI Prudential Short Term Plan-Institutional - Growth31-JAN-1222.0010
2212ICICI Prudential Short Term Plan-Institutional - Monthly31-JAN-1212.2639
2213ICICI Prudential Spice Fund31-JAN-12181.8832
2214ICICI Prudential Target Returns Fund - Institutional Option I - Growth15-JUN-0910.1800
2215ICICI Prudential Target Returns Fund - Retail Option - Dividend31-JAN-1213.1600
2216ICICI Prudential Target Returns Fund - Retail Option - Growth31-JAN-1213.1600
2217ICICI Prudential Tax Plan-Dividend31-JAN-1217.5700
2218ICICI Prudential Tax Plan-Growth31-JAN-12130.7300
2219ICICI Prudential Technology Fund-Dividend31-JAN-1217.0700
2220ICICI Prudential Technology Fund-Growth31-JAN-1217.0700
2221ICICI Prudential Top 100 Fund - Dividend31-JAN-1214.1000
2222ICICI Prudential Top 100 Fund - Growth31-JAN-12132.5700
2223ICICI Prudential Top 100 Fund - Institutional Option - I - Growth31-JAN-1218.9700
2224ICICI Prudential Top 200 Fund - Dividend31-JAN-1215.1100
2225ICICI Prudential Top 200 Fund - Growth31-JAN-12101.7900
2226ICICI Prudential Top 200 Fund - Institutional Option I - Growth31-JAN-1228.7600
2227ICICI Prudential Ultra Short Term Plan - Premium Option - Daily Dividend31-JAN-1210.0358
2228ICICI Prudential Ultra Short Term Plan - Premium Option - Fortnightly Dividend31-JAN-1210.0241
2229ICICI Prudential Ultra Short Term Plan - Premium Option - Growth31-JAN-1211.6666
2230ICICI Prudential Ultra Short Term Plan - Premium Option - Monthly Dividend31-JAN-1210.0630
2231ICICI Prudential Ultra Short Term Plan - Premium Option - Quarterly Dividend31-JAN-1210.1309
2232ICICI Prudential Ultra Short Term Plan - Premium Option - Weekly Dividend31-JAN-1210.0893
2233ICICI Prudential Ultra Short Term Plan - Premium Plus Option - Daily Dividend31-JAN-1210.0182
2234ICICI Prudential Ultra Short Term Plan - Premium Plus Option - Fortnightly Dividend03-DEC-0910.0046
2235ICICI Prudential Ultra Short Term Plan - Premium Plus Option - Growth31-JAN-1210.7051
2236ICICI Prudential Ultra Short Term Plan - Premium Plus Option - Monthly Dividend31-JAN-1210.0267
2237ICICI Prudential Ultra Short Term Plan - Premium Plus Option - Weekly Dividend31-JAN-1210.0057
2238ICICI Prudential Ultra Short Term Plan - Regular Option - Daily Dividend31-JAN-1210.0356
2239ICICI Prudential Ultra Short Term Plan - Regular Option - Fortnightly Dividend31-JAN-1210.0526
2240ICICI Prudential Ultra Short Term Plan - Regular Option - Growth31-JAN-1211.6831
2241ICICI Prudential Ultra Short Term Plan - Regular Option - Monthly Dividend31-JAN-1210.0710
2242ICICI Prudential Ultra Short Term Plan - Regular Option - Quarterly Dividend31-JAN-1210.1516
2243ICICI Prudential Ultra Short Term Plan - Regular Option - Weekly Dividend31-JAN-1210.0848
2244ICICI Prudential Ultra Short Term Plan - Super Premium Option - Daily Dividend31-JAN-1210.0378
2245ICICI Prudential Ultra Short Term Plan - Super Premium Option - Growth31-JAN-1211.8584
2246ICICI Prudential Ultra Short Term Plan - Super Premium Option - Monthly Dividend19-JUL-1010.0537
2247ICICI Prudential Ultra Short Term Plan - Super Premium Option - Weekly Dividend31-JAN-1210.0856
2248ICICI Prudential Very Aggressive Plan - Dividend31-JAN-1234.7126
2249ICICI Prudential Very Aggressive Plan - Growth31-JAN-1234.7126
2250ICICI Prudential Very Cautious Plan - Dividend31-JAN-1216.1043
2251ICICI Prudential Very Cautious Plan - Growth31-JAN-1216.1043
2252IDBI FMP - 367 Days - Series I (February 2011) - Plan A - Dividend01-FEB-1210.9244
2253IDBI FMP - 367 Days - Series I (February 2011) - Plan A - Growth01-FEB-1210.9244
2254IDBI FMP - 367 Days - Series I (February 2011) - Plan B - Dividend01-FEB-1210.9246
2255IDBI FMP - 367 Days - Series I (February 2011) - Plan B - Growth01-FEB-1210.9246
2256IDBI FMP - 367 Days - Series I (June 2011) - Plan E - Dividend31-JAN-1210.5184
2257IDBI FMP - 367 Days - Series I (June 2011) - Plan E - Growth31-JAN-1210.5184
2258IDBI FMP - 367 Days - Series I (March 2011) - Plan C - Dividend31-JAN-1210.8936
2259IDBI FMP - 367 Days - Series I (March 2011) - Plan C - Growth31-JAN-1210.8936
2260IDBI FMP - 367 Days - Series I (March 2011) - Plan D - Dividend31-JAN-1210.8332
2261IDBI FMP - 367 Days - Series I (March 2011) - Plan D - Growth31-JAN-1210.8332
2262IDBI FMP - 395 Days - Series I (June 2011) - Plan C - Dividend31-JAN-1210.6231
2263IDBI FMP - 395 Days - Series I (June 2011) - Plan C - Growth31-JAN-1210.6231
2264IDBI FMP - 395 Days - Series I (March 2011) - Plan A - Dividend01-FEB-1210.9223
2265IDBI FMP - 395 Days - Series I (March 2011) - Plan A - Growth01-FEB-1210.9223
2266IDBI FMP - 395 Days - Series I (March 2011) - Plan B - Dividend01-FEB-1210.8714
2267IDBI FMP - 395 Days - Series I (March 2011) - Plan B - Growth01-FEB-1210.8714
2268IDBI FMP - 540 Days - Series II (December 2011) - Plan A - Dividend01-FEB-1210.1621
2269IDBI FMP - 540 Days - Series II (December 2011) - Plan A - Growth01-FEB-1210.1621
2270IDBI FMP - 550 Days - Series II (December 2011) - Plan B - Growth01-FEB-1210.1001
2271IDBI Gold Exchange Traded Fund31-JAN-122852.8710
2272IDBI Liquid Fund - Daily Dividend31-JAN-121000.0000
2273IDBI Liquid Fund - Growth31-JAN-121132.9956
2274IDBI Liquid Fund - Monthly Dividend31-JAN-121001.5663
2275IDBI Liquid Fund - Weekly Dividend31-JAN-121000.7385
2276IDBI Monthly Income Plan - Growth31-JAN-1210.6004
2277IDBI Monthly Income Plan - Monthly Dividend31-JAN-1210.1910
2278IDBI Monthly Income Plan - Quarterly Dividend31-JAN-1210.2605
2279IDBI NIFTY Junior Index Fund - Dividend31-JAN-12 7.6838
2280IDBI NIFTY Junior Index Fund - Growth31-JAN-12 7.6838
2281IDBI Nifty Index Fund - Dividend31-JAN-12 9.3474
2282IDBI Nifty Index Fund - Growth31-JAN-12 9.8006
2283IDBI Short Term Bond Fund - Growth31-JAN-1210.7663
2284IDBI Short Term Bond Fund - Monthly Dividend31-JAN-1210.0371
2285IDBI Short Term Bond Fund - Weekly Dividend31-JAN-1210.0162
2286IDBI Ultra Short Term Fund - Daily Dividend31-JAN-1210.0000
2287IDBI Ultra Short Term Fund - Growth31-JAN-1211.2714
2288IDBI Ultra Short Term Fund - Monthly Dividend31-JAN-1210.0154
2289IDBI Ultra Short Term Fund - Weekly Dividend31-JAN-1210.0028
2290IDFC - Money Manager Fund - Investment Plan - A - Annual Dividend31-JAN-1212.6082
2291IDFC - Money Manager Fund - Investment Plan - A - Daily Dividend31-JAN-1210.0093
2292IDFC - Money Manager Fund - Investment Plan - A - Growth Option31-JAN-1216.0214
2293IDFC - Money Manager Fund - Investment Plan - A - Monthly Dividend31-JAN-1210.0434
2294IDFC - Money Manager Fund - Investment Plan - A - Quarterly Dividend31-JAN-1210.4821
2295IDFC - Money Manager Fund - Investment Plan - A - Weekly Dividend31-JAN-1210.0296
2296IDFC - Money Manager Fund - Investment Plan - F - Dividend27-APR-1010.0401
2297IDFC - Money Manager Fund - Investment Plan - F - Growth07-DEC-1110.7796
2298IDFC - Money Manager Fund - Investment Plan - Plan B - Daily Dividend31-JAN-1210.1667
2299IDFC - Money Manager Fund - Investment Plan - Plan B - Growth Option31-JAN-1216.4122
2300IDFC - Money Manager Fund - Investment Plan - Plan B - Monthly Dividend31-JAN-1210.1192
2301IDFC - Money Manager Fund - Investment Plan - Plan B - Quarterly Dividend26-NOV-0810.4331
2302IDFC - Money Manager Fund - Investment Plan - Plan B - Weekly Dividend31-JAN-1210.0796
2303IDFC - Money Manager Fund - Treasury Plan (Institutional) - Daily Dividend31-JAN-1210.0703
2304IDFC - Money Manager Fund - Treasury Plan - Daily Dividend31-JAN-1210.0699
2305IDFC - Money Manager Fund - Treasury Plan - Dividend31-JAN-1210.1771
2306IDFC - Money Manager Fund - Treasury Plan - Growth31-JAN-1216.8787
2307IDFC - Money Manager Fund - Treasury Plan - Plan B (Institutional) - Growth31-JAN-1216.9148
2308IDFC - Money Manager Fund - Treasury Plan - Plan B (Institutional) - Monthly31-JAN-1210.0870
2309IDFC - Money Manager Fund - Treasury Plan - Plan B (Institutional) - Weekly31-JAN-1210.0480
2310IDFC - Money Manager Fund - Treasury Plan - Plan C (Super Institutional Plan) - Daily Dividend31-JAN-1210.0015
2311IDFC - Money Manager Fund - Treasury Plan - Plan C (Super Institutional Plan) - Growth31-JAN-1212.5546
2312IDFC - Money Manager Fund - Treasury Plan - Plan C (Super Institutional Plan) - Monthly Dividend31-JAN-1210.0037
2313IDFC - Money Manager Fund - Treasury Plan - Plan C (Super Institutional Plan) - Weekly Dividend31-JAN-1210.0670
2314IDFC - Money Manager Fund - Treasury Plan - Plan C - Dividend08-FEB-1110.0111
2315IDFC - Money Manager Fund - Treasury Plan - Plan D - Daily Dividend31-JAN-1210.0033
2316IDFC - Money Manager Fund - Treasury Plan - Plan D - Growth31-JAN-1211.6101
2317IDFC - Money Manager Fund - Treasury Plan - Plan F - Dividend29-MAR-1110.0757
2318IDFC - Money Manager Fund - Treasury Plan - Plan F - Growth31-JAN-1211.4523
2319IDFC - Money Manager Fund - Treasury Plan - Weekly31-JAN-1210.0283
2320IDFC All Seasons Bond Fund - Plan A - Annual Dividend31-JAN-1212.9301
2321IDFC All Seasons Bond Fund - Plan A - Growth31-JAN-1216.3811
2322IDFC All Seasons Bond Fund - Plan A - Half Yearly Dividend31-JAN-1211.2398
2323IDFC All Seasons Bond Fund - Plan A - Quarterly Dividend31-JAN-1211.7669
2324IDFC All Seasons Bond Fund - Plan A - Fortnightly Dividend31-JAN-1210.2772
2325IDFC Arbitrage Fund - Plan A (Regular) - Dividend31-JAN-1211.7561
2326IDFC Arbitrage Fund - Plan A (Regular) - Growth31-JAN-1213.8915
2327IDFC Arbitrage Fund - Plan B (Institutional) - Dividend31-JAN-1212.0096
2328IDFC Arbitrage Fund - Plan B (Institutional) - Growth31-JAN-1214.2513
2329IDFC Arbitrage Plus Fund - Plan A (Regular) - Dividend31-JAN-1211.3560
2330IDFC Arbitrage Plus Fund - Plan A (Regular) - Growth31-JAN-1212.3936
2331IDFC Arbitrage Plus Fund - Plan B (Institutional) - Dividend31-JAN-1211.4714
2332IDFC Arbitrage Plus Fund - Plan B (Institutional) - Growth31-JAN-1212.4781
2333IDFC Asset Allocation Fund of Fund - Aggressive Plan AA - Dividend31-JAN-1211.0626
2334IDFC Asset Allocation Fund of Fund - Aggressive Plan AA - Growth31-JAN-1211.4378
2335IDFC Asset Allocation Fund of Fund - Conservative Plan AA - Dividend31-JAN-1210.8561
2336IDFC Asset Allocation Fund of Fund - Conservative Plan AA - Growth31-JAN-1211.2369
2337IDFC Asset Allocation Fund of Fund - Moderate Plan AA - Dividend31-JAN-1211.2815
2338IDFC Asset Allocation Fund of Fund - Moderate Plan AA - Growth31-JAN-1211.5357
2339IDFC Capital Protection Oriented Fund - Series 1 - Dividend01-FEB-1210.8064
2340IDFC Capital Protection Oriented Fund - Series 1 - Growth01-FEB-1210.8064
2341IDFC Capital Protection Oriented Fund - Series II - Dividend31-JAN-1210.6326
2342IDFC Capital Protection Oriented Fund - Series II - Growth31-JAN-1210.6326
2343IDFC Capital Protection Oriented Fund - Series III - Dividend31-JAN-1210.4903
2344IDFC Capital Protection Oriented Fund - Series III - Growth31-JAN-1210.4903
2345IDFC Cash Fund - Plan A - Daily Dividend31-JAN-121058.1900
2346IDFC Cash Fund - Plan A - Growth31-JAN-121867.6729
2347IDFC Cash Fund - Plan A - Monthly Dividend31-JAN-121000.2526
2348IDFC Cash Fund - Plan A - Periodic Dividend31-JAN-121011.4630
2349IDFC Cash Fund - Plan A - Weekly Dividend31-JAN-121001.9798
2350IDFC Cash Fund - Plan B (Institutional) - Daily Dividend31-JAN-121058.7300
2351IDFC Cash Fund - Plan B (Institutional) - Growth31-JAN-121885.0153
2352IDFC Cash Fund - Plan B (Institutional) - Weekly31-JAN-121000.9836
2353IDFC Cash Fund - Plan C - Daily Dividend31-JAN-121000.2500
2354IDFC Cash Fund - Plan C - Growth31-JAN-121284.4883
2355IDFC Cash Fund - Plan C - Monthly Dividend31-JAN-121000.2668
2356IDFC Cash Fund - Plan C - Periodic Dividend31-JAN-121011.9036
2357IDFC Cash Fund - Plan C - Weekly Dividend31-JAN-121001.0347
2358IDFC Classic Equity Fund - Plan A - Dividend31-JAN-1211.1693
2359IDFC Classic Equity Fund - Plan A - Growth31-JAN-1218.0254
2360IDFC Classic Equity Fund - Plan B - Dividend31-JAN-12 9.6961
2361IDFC Classic Equity Fund - Plan B - Growth31-JAN-1214.3286
2362IDFC Dynamic Bond Fund - Institutional Plan B - Dividend31-JAN-1210.5909
2363IDFC Dynamic Bond Fund - Institutional Plan B - Growth31-JAN-1212.3159
2364IDFC Dynamic Bond Fund - Regular Plan A - Annual31-JAN-1213.4094
2365IDFC Dynamic Bond Fund - Regular Plan A - Growth31-JAN-1220.8627
2366IDFC Dynamic Bond Fund - Regular Plan A - Quarterly31-JAN-1211.8787
2367IDFC Equity Fund - Plan A - Dividend31-JAN-1211.3059
2368IDFC Equity Fund - Plan A - Growth31-JAN-1214.9730
2369IDFC Equity Fund - Plan B - Dividend31-JAN-1210.3320
2370IDFC Equity Fund - Plan B - Growth31-JAN-1212.3512
2371IDFC Fixed Maturity Plan - 16 M - Series - 3 - Dividend01-FEB-1210.8186
2372IDFC Fixed Maturity Plan - 16 M - Series - 3 - Growth01-FEB-1210.8977
2373IDFC Fixed Maturity Plan - 17 M - Series - 3 - Dividend01-FEB-1210.8357
2374IDFC Fixed Maturity Plan - 17 M - Series - 3 - Growth01-FEB-1210.8588
2375IDFC Fixed Maturity Plan - 18 M - Series - 7 - Dividend31-JAN-1210.8274
2376IDFC Fixed Maturity Plan - 18 M - Series - 7 - Growth31-JAN-1211.0405
2377IDFC Fixed Maturity Plan - 18 M - Series 10 - Dividend31-JAN-1210.0327
2378IDFC Fixed Maturity Plan - 18 M - Series 10 - Growth31-JAN-1210.0327
2379IDFC Fixed Maturity Plan - 18 M - Series 10 - Quarterly Dividend31-JAN-1210.0327
2380IDFC Fixed Maturity Plan - 18 M - Series 9 - Dividend31-JAN-1210.2338
2381IDFC Fixed Maturity Plan - 18 M - Series 9 - Growth31-JAN-1210.2338
2382IDFC Fixed Maturity Plan - 18 M - Series 9 - Quarterly Dividend31-JAN-1210.2338
2383IDFC Fixed Maturity Plan - 36 M - Series - 2 - Dividend01-FEB-1210.8376
2384IDFC Fixed Maturity Plan - 36 M - Series - 2 - Growth01-FEB-1210.9600
2385IDFC Fixed Maturity Plan - Half Yearly Series - 15 - Dividend31-JAN-1210.0321
2386IDFC Fixed Maturity Plan - Half Yearly Series - 15 - Growth31-JAN-1210.0321
2387IDFC Fixed Maturity Plan - Half Yearly Series - 15 - Quarterly Dividend31-JAN-1210.0321
2388IDFC Fixed Maturity Plan - QS 66 - Dividend31-JAN-1210.1771
2389IDFC Fixed Maturity Plan - QS 66 - Growth31-JAN-1210.1771
2390IDFC Fixed Maturity Plan - QS 67 - Dividend31-JAN-1210.1072
2391IDFC Fixed Maturity Plan - QS 67 - Growth01-FEB-1210.1098
2392IDFC Fixed Maturity Plan - QS 68 - Dividend01-FEB-1210.0401
2393IDFC Fixed Maturity Plan - QS 68 - Growth01-FEB-1210.0401
2394IDFC Fixed Maturity Plan - Series 1 - 2 Years - Dividend31-JAN-1210.2187
2395IDFC Fixed Maturity Plan - Series 1 - 2 Years - Growth31-JAN-1210.2187
2396IDFC Fixed Maturity Plan - Series 1 - 2 Years - Quarterly Dividend31-JAN-1210.2187
2397IDFC Fixed Maturity Plan - Series 2 - 2 Years - Dividend31-JAN-1210.1912
2398IDFC Fixed Maturity Plan - Series 2 - 2 Years - Growth31-JAN-1210.1912
2399IDFC Fixed Maturity Plan - Series 2 - 2 Years - Quarterly Dividend31-JAN-1210.1912
2400IDFC Fixed Maturity Plan - Series 5 - 3 Years - Dividend31-JAN-1210.2007
2401IDFC Fixed Maturity Plan - Series 5 - 3 Years - Growth31-JAN-1210.2007
2402IDFC Fixed Maturity Plan - Series 5 - 3 Years - Quarterly Dividend31-JAN-1210.2007
2403IDFC Fixed Maturity Plan - Yearly Series 37 - Dividend31-JAN-1210.3172
2404IDFC Fixed Maturity Plan - Yearly Series 37 - Growth31-JAN-1210.9632
2405IDFC Fixed Maturity Plan - Yearly Series 38 - Dividend31-JAN-1210.3177
2406IDFC Fixed Maturity Plan - Yearly Series 38 - Growth31-JAN-1210.9433
2407IDFC Fixed Maturity Plan - Yearly Series 39 - Dividend31-JAN-1210.3119
2408IDFC Fixed Maturity Plan - Yearly Series 39 - Growth31-JAN-1210.8966
2409IDFC Fixed Maturity Plan - Yearly Series 40 - Dividend31-JAN-1210.3194
2410IDFC Fixed Maturity Plan - Yearly Series 40 - Growth31-JAN-1210.8942
2411IDFC Fixed Maturity Plan - Yearly Series 41 - Dividend31-JAN-1210.3186
2412IDFC Fixed Maturity Plan - Yearly Series 41 - Growth31-JAN-1210.8724
2413IDFC Fixed Maturity Plan - Yearly Series 42 - Dividend31-JAN-1210.3230
2414IDFC Fixed Maturity Plan - Yearly Series 42 - Growth31-JAN-1210.8631
2415IDFC Fixed Maturity Plan - Yearly Series 43 - Dividend31-JAN-1210.3147
2416IDFC Fixed Maturity Plan - Yearly Series 43 - Growth31-JAN-1210.5704
2417IDFC Fixed Maturity Plan - Yearly Series 44 - Dividend31-JAN-1210.3050
2418IDFC Fixed Maturity Plan - Yearly Series 44 - Growth31-JAN-1210.4982
2419IDFC Fixed Maturity Plan - Yearly Series 45 - Dividend31-JAN-1210.3118
2420IDFC Fixed Maturity Plan - Yearly Series 45 - Growth31-JAN-1210.4638
2421IDFC Fixed Maturity Plan - Yearly Series 46 - Dividend31-JAN-1210.3048
2422IDFC Fixed Maturity Plan - Yearly Series 46 - Growth31-JAN-1210.3979
2423IDFC Fixed Maturity Plan - Yearly Series 52 - Dividend31-JAN-1210.2532
2424IDFC Fixed Maturity Plan - Yearly Series 52 - Growth31-JAN-1210.2532
2425IDFC Fixed Maturity Plan - Yearly Series 53 - Dividend31-JAN-1210.2220
2426IDFC Fixed Maturity Plan - Yearly Series 53 - Growth31-JAN-1210.2220
2427IDFC Fixed Maturity Plan - Yearly Series 53 - Quarterly Dividend31-JAN-1210.2220
2428IDFC Fixed Maturity Plan - Yearly Series 54 - Dividend31-JAN-1210.1858
2429IDFC Fixed Maturity Plan - Yearly Series 54 - Growth31-JAN-1210.1858
2430IDFC Fixed Maturity Plan - Yearly Series 54 - Quarterly Dividend31-JAN-1210.1858
2431IDFC Fixed Maturity Plan - Yearly Series 56 - Dividend31-JAN-1210.1537
2432IDFC Fixed Maturity Plan - Yearly Series 56 - Growth31-JAN-1210.1537
2433IDFC Fixed Maturity Plan - Yearly Series 56 - Quarterly Dividend31-JAN-1210.1537
2434IDFC Fixed Maturity Plan - Yearly Series 57 - Dividend31-JAN-1210.1336
2435IDFC Fixed Maturity Plan - Yearly Series 57 - Growth31-JAN-1210.1336
2436IDFC Fixed Maturity Plan - Yearly Series 57 - Quarterly Dividend31-JAN-1210.1336
2437IDFC Fixed Maturity Plan - Yearly Series 58 - Dividend31-JAN-1210.1154
2438IDFC Fixed Maturity Plan - Yearly Series 58 - Growth31-JAN-1210.1154
2439IDFC Fixed Maturity Plan - Yearly Series 58 - Quarterly Dividend31-JAN-1210.1154
2440IDFC Fixed Maturity Plan - Yearly Series 59 - Dividend31-JAN-1210.0994
2441IDFC Fixed Maturity Plan - Yearly Series 59 - Growth31-JAN-1210.0994
2442IDFC Fixed Maturity Plan - Yearly Series 59 - Quarterly Dividend31-JAN-1210.0994
2443IDFC Fixed Maturity Plan - Yearly Series 60 - Dividend31-JAN-1210.0623
2444IDFC Fixed Maturity Plan - Yearly Series 60 - Growth31-JAN-1210.0623
2445IDFC Fixed Maturity Plan - Yearly Series 60 - Quarterly Dividend31-JAN-1210.0623
2446IDFC Fixed Maturity Plan - Yearly Series 61 - Dividend31-JAN-1210.0331
2447IDFC Fixed Maturity Plan - Yearly Series 61 - Growth31-JAN-1210.0331
2448IDFC Fixed Maturity Plan - Yearly Series 61 - Quarterly Dividend31-JAN-1210.0331
2449IDFC Govt.Sec.Fund - Investment Plan - Institutional Plan B - Dividend31-JAN-1210.3562
2450IDFC Govt.Sec.Fund - Investment Plan - Institutional Plan B - Growth31-JAN-1211.7886
2451IDFC Govt.Sec.Fund - Investment Plan - Regular Plan A - Annual31-JAN-1213.2759
2452IDFC Govt.Sec.Fund - Investment Plan - Regular Plan A - Growth31-JAN-1220.0754
2453IDFC Govt.Sec.Fund - Investment Plan - Regular Plan A - Half Yearly31-JAN-1211.8560
2454IDFC Govt.Sec.Fund - Investment Plan - Regular Plan A - Quarterly Dividend31-JAN-1210.6729
2455IDFC Govt.Sec.Fund - P F - Institutional Plan - Growth31-JAN-1217.2838
2456IDFC Govt.Sec.Fund - P F - Institutional Plan - Quarterly Dividend31-JAN-1211.1794
2457IDFC Govt.Sec.Fund - P F - Regular - Annual Dividend31-JAN-1212.0156
2458IDFC Govt.Sec.Fund - P F - Regular - Growth31-JAN-1217.0177
2459IDFC Govt.Sec.Fund - P F - Regular - Quarterly Dividend31-JAN-1211.9053
2460IDFC Govt.Sec.Fund - Short Term Plan - Plan A - Regular - Growth31-JAN-1214.5156
2461IDFC Govt.Sec.Fund - Short Term Plan - Plan A - Regular - Monthly Dividend31-JAN-1210.0180
2462IDFC Govt.Sec.Fund - Short Term Plan - Plan A - Regular - Quarterly Dividend31-JAN-1210.1894
2463IDFC Govt.Sec.Fund - Short Term Plan - Plan A - Regular - Weekly Dividend31-JAN-1210.0043
2464IDFC Govt.Sec.Fund Short Term Plan - Plan B - Institutional - Growth17-JUN-1010.0501
2465IDFC Govt.Sec.Fund Short Term Plan - Plan B - Institutional - Quarterly Dividend04-JUN-1010.1008
2466IDFC Govt.Sec.Fund Short Term Plan - Plan B - Institutional - Weekly Dividend24-AUG-0910.0098
2467IDFC Imperial Equity Fund - Plan A - Dividend31-JAN-1211.7173
2468IDFC Imperial Equity Fund - Plan A - Growth31-JAN-1217.8619
2469IDFC Imperial Equity Fund - Plan B - Dividend31-JAN-1211.7655
2470IDFC Imperial Equity Fund - Plan B - Growth31-JAN-1215.3935
2471IDFC India GDP Growth Fund - Dividend31-JAN-1212.2705
2472IDFC India GDP Growth Fund - Growth31-JAN-1215.8944
2473IDFC Infrastructure Fund - Dividend31-JAN-12 8.9627
2474IDFC Infrastructure Fund - Growth31-JAN-12 8.9610
2475IDFC Monthly Income Plan - Dividend31-JAN-1210.4666
2476IDFC Monthly Income Plan - Growth31-JAN-1211.1120
2477IDFC Monthly Income Plan - Quarterly Dividend31-JAN-1210.4229
2478IDFC Nifty Fund - Dividend31-JAN-1210.0703
2479IDFC Nifty Fund - Growth31-JAN-12 9.9917
2480IDFC Premier Equity Fund - Plan A - Dividend31-JAN-1222.9598
2481IDFC Premier Equity Fund - Plan A - Growth31-JAN-1231.3425
2482IDFC Premier Equity Fund - Plan B - Dividend31-JAN-1218.9643
2483IDFC Premier Equity Fund - Plan B - Growth31-JAN-1223.1131
2484IDFC Quarterly Interval Fund - Plan A - Institutional - Dividend15-DEC-0810.0000
2485IDFC Quarterly Interval Fund - Plan A - Institutional - Growth15-DEC-0811.8393
2486IDFC Quarterly Interval Fund - Plan A - Retail - Dividend15-DEC-0810.0000
2487IDFC Quarterly Interval Fund - Plan A - Retail - Growth15-DEC-0811.2298
2488IDFC Savings Scheme - Series I - Dividend31-JAN-1210.0429
2489IDFC Savings Scheme - Series I - Growth31-JAN-1210.0429
2490IDFC Sterling Equity Fund - Dividend31-JAN-1212.4764
2491IDFC Sterling Equity Fund - Growth31-JAN-1216.7499
2492IDFC Strategic Sector (50-50) Equity Fund - Plan A - Dividend31-JAN-1212.8143
2493IDFC Strategic Sector (50-50) Equity Fund - Plan A - Growth31-JAN-1212.9505
2494IDFC Strategic Sector (50-50) Equity Fund - Plan B - Dividend31-JAN-1214.1989
2495IDFC Strategic Sector (50-50) Equity Fund - Plan B - Growth31-JAN-1214.1920
2496IDFC Super Saver Income Fund - IP - Plan F - Growth31-JAN-1211.2420
2497IDFC Super Saver Income Fund - Investment - Regular Plan A - Annual31-JAN-1213.0602
2498IDFC Super Saver Income Fund - Investment - Regular Plan A - Growth31-JAN-1225.0860
2499IDFC Super Saver Income Fund - Investment - Regular Plan A - Half Yearly31-JAN-1211.4243
2500IDFC Super Saver Income Fund - Investment - Regular Plan A - Quarterly Dividend30-JAN-1211.2559
2501IDFC Super Saver Income Fund - Investment Plan - Institutional Plan B - Dividend31-JAN-1210.6217
2502IDFC Super Saver Income Fund - Investment Plan - Institutional Plan B - Growth31-JAN-1212.1771
2503IDFC Super Saver Income Fund - Investment Plan C - Regular Plan A - Dividend31-JAN-1211.6833
2504IDFC Super Saver Income Fund - Investment Plan C - Regular Plan A - Growth20-OCT-1111.2804
2505IDFC Super Saver Income Fund - M T - Plan A - Monthly Dividend31-JAN-1210.1573
2506IDFC Super Saver Income Fund - M T - Plan F - Dividend31-JAN-1210.1882
2507IDFC Super Saver Income Fund - M T - Plan F - Growth31-JAN-1211.7138
2508IDFC Super Saver Income Fund - Medium Term - Plan B (Institutional) - Dividend31-JAN-1211.5938
2509IDFC Super Saver Income Fund - Medium Term - Plan B (Institutional) - Growth31-JAN-1211.5095
2510IDFC Super Saver Income Fund - Medium Term - Plan B (Institutional) - Monthly Dividend31-JAN-1210.0036
2511IDFC Super Saver Income Fund - S T - Plan A - Fortnigthly Dividend31-JAN-1210.2271
2512IDFC Super Saver Income Fund - S T - Plan C - Fortnightly Dividend31-JAN-1210.1080
2513IDFC Super Saver Income Fund - S T - Plan C - Growth31-JAN-1212.1759
2514IDFC Super Saver Income Fund - S T - Plan C - Monthly Dividend31-JAN-1210.6126
2515IDFC Super Saver Income Fund - S T - Plan D - Fortnightly Dividend27-JAN-1211.0372
2516IDFC Super Saver Income Fund - S T - Plan D - Growth31-JAN-1214.0833
2517IDFC Super Saver Income Fund - S T - Plan D - Monthly Dividend31-JAN-1211.2544
2518IDFC Super Saver Income Fund - S T - Plan F - Dividend31-JAN-1210.0961
2519IDFC Super Saver Income Fund - S T - Plan F - Growth31-JAN-1211.4643
2520IDFC Super Saver Income Fund-Medium Term Plan - Bimonthly Dividend31-JAN-1210.6635
2521IDFC Super Saver Income Fund-Medium Term Plan - Daily Dividend31-JAN-1210.0887
2522IDFC Super Saver Income Fund-Medium Term Plan - Dividend31-JAN-1210.1573
2523IDFC Super Saver Income Fund-Medium Term Plan - Fortnightly Dividend31-JAN-1210.0734
2524IDFC Super Saver Income Fund-Medium Term Plan - Growth31-JAN-1218.0224
2525IDFC Super Saver Income Fund-Medium Term Plan - Quarterly Dividend31-JAN-1210.2603
2526IDFC Super Saver Income Fund-Short Term-Growth31-JAN-1221.7225
2527IDFC Super Saver Income Fund-Short Term-Monthly Dividend31-JAN-1210.0684
2528IDFC Super Saver Income Fund-Short Term-Plan B (Institutional) - Fortnightly Dividend31-JAN-1210.9020
2529IDFC Super Saver Income Fund-Short Term-Plan B (Institutional) -Dividend31-JAN-1210.2128
2530IDFC Super Saver Income Fund-Short Term-Plan B (Institutional) -Growth31-JAN-1212.0721
2531IDFC Tax Advantage (ELSS) Fund - Dividend31-JAN-1211.2018
2532IDFC Tax Advantage (ELSS) Fund - Growth31-JAN-1218.1642
2533IDFC Tax Saver (ELSS) Fund - Dividend31-JAN-1213.5244
2534IDFC Tax Saver (ELSS) Fund - Growth31-JAN-1213.5247
2535IDFC Ultra Short Term Fund - Daily Dividend31-JAN-1210.0125
2536IDFC Ultra Short Term Fund - Growth31-JAN-1214.5928
2537IDFC Ultra Short Term Fund - Monthly Dividend31-JAN-1210.1049
2538IDFC Ultra Short Term Fund - Periodic Dividend31-JAN-1210.0313
2539IDFC Ultra Short Term Fund - Quarterly Dividend31-JAN-1210.1003
2540IDFC Ultra Short Term Fund - Weekly Dividend31-JAN-1210.0163
2541IIFL Fixed Maturity Plan - Series 1 - Dividend31-JAN-12 9.9978
2542IIFL Fixed Maturity Plan - Series 1 - Growth31-JAN-12 9.9978
2543IIFL Nifty ETF - Growth31-JAN-12519.3624
2544ING Balanced Fund - Dividend31-JAN-1217.1400
2545ING Balanced Fund - Growth31-JAN-1224.5100
2546ING Contra Fund - Bonus31-JAN-1214.1900
2547ING Contra Fund - Dividend31-JAN-1212.1100
2548ING Contra Fund - Growth31-JAN-1214.1900
2549ING Core Equity Fund - Dividend31-JAN-1216.1000
2550ING Core Equity Fund - Growth31-JAN-1235.4400
2551ING Dividend Yield Fund - Dividend31-JAN-1215.0400
2552ING Dividend Yield Fund - Growth31-JAN-1221.8400
2553ING Gilt Provident Fund - Dynamic Plan - Cyclical Series Option 201131-JAN-1210.6530
2554ING Gilt Provident Fund - Dynamic Plan - Growth31-JAN-1216.9566
2555ING Gilt Provident Fund - Dynamic Plan - Growth Auto Income Payout Option31-JAN-1216.9566
2556ING Gilt Provident Fund - Dynamic Plan - Half Yearly Dividend31-JAN-1210.9918
2557ING Gilt Provident Fund - Dynamic Plan - Yearly Dividend31-JAN-1211.3275
2558ING Global Real Estate Fund - Dividend30-JAN-1210.9900
2559ING Global Real Estate Fund - Growth30-JAN-1210.9800
2560ING Global Real Estate Fund - Institutional - Dividend30-JAN-1210.0000
2561ING Global Real Estate Fund - Institutional - Growth30-JAN-1210.0000
2562ING High Yield Liquidity Fund - Institutional - Daily Dividend25-FEB-0910.0000
2563ING High Yield Liquidity Fund - Institutional - Growth25-FEB-0910.2278
2564ING High Yield Liquidity Fund - Institutional - Monthly Dividend25-FEB-0910.2278
2565ING High Yield Liquidity Fund - Institutional - Quarterly Dividend25-FEB-0910.0000
2566ING High Yield Liquidity Fund - Institutional - Weekly Dividend25-FEB-0910.0000
2567ING High Yield Liquidity Fund - Retail - Bonus25-FEB-0910.0000
2568ING High Yield Liquidity Fund - Retail - Daily Dividend25-FEB-0910.0000
2569ING High Yield Liquidity Fund - Retail - Growth25-FEB-0910.0000
2570ING High Yield Liquidity Fund - Retail - Monthly Dividend25-FEB-0910.0000
2571ING High Yield Liquidity Fund - Retail - Quarterly Dividend25-FEB-0910.0000
2572ING High Yield Liquidity Fund - Retail - Weekly Dividend25-FEB-0910.0000
2573ING Income Fund - Annual Dividend31-JAN-1211.1737
2574ING Income Fund - Growth31-JAN-1227.5909
2575ING Income Fund - Half Yearly Dividend31-JAN-1210.8479
2576ING Income Fund - Institutional Option - Annual Dividend31-JAN-1210.0000
2577ING Income Fund - Institutional Option - Growth31-JAN-1211.6427
2578ING Income Fund - Institutional Option - Half Yearly Dividend31-JAN-1210.0000
2579ING Income Fund - Institutional Option - Quarterly Dividend31-JAN-1210.0000
2580ING Income Fund - Quarterly Dividend31-JAN-1211.5904
2581ING Interval Fund - Quarterly Plan B - Institutional - Dividend16-OCT-0810.0018
2582ING Interval Fund - Quarterly Plan B - Institutional - Growth16-OCT-0810.2551
2583ING Interval Fund - Quarterly Plan B - Institutional - Monthly Dividend16-OCT-0810.0017
2584ING Interval Fund - Quarterly Plan B - Retail - Dividend16-OCT-0810.0017
2585ING Interval Fund - Quarterly Plan B - Retail - Growth16-OCT-0810.2547
2586ING Interval Fund - Quarterly Plan B - Retail - Monthly Dividend16-OCT-0810.0017
2587ING Interval Fund - Quarterly Plan C - Institutional - Dividend23-OCT-0810.0027
2588ING Interval Fund - Quarterly Plan C - Institutional - Growth23-OCT-0810.2589
2589ING Interval Fund - Quarterly Plan C - Institutional - Monthly Dividend23-OCT-0810.0027
2590ING Interval Fund - Quarterly Plan C - Retail - Dividend23-OCT-0810.0027
2591ING Interval Fund - Quarterly Plan C - Retail - Growth23-OCT-0810.2584
2592ING Interval Fund - Quarterly Plan C - Retail - Monthly Dividend23-OCT-0810.0027
2593ING Large Cap Equity Fund - Dividend31-JAN-1217.5500
2594ING Large Cap Equity Fund - Growth31-JAN-1226.3200
2595ING Latin America Equity Fund - Dividend30-JAN-1210.6900
2596ING Latin America Equity Fund - Growth30-JAN-1210.6900
2597ING Liquid Fund - Daily Dividend31-JAN-1210.7873
2598ING Liquid Fund - Dividend31-JAN-1210.8268
2599ING Liquid Fund - Growth31-JAN-1221.9722
2600ING Liquid Fund - Institutional - Daily Dividend31-JAN-1210.0121
2601ING Liquid Fund - Institutional - Growth31-JAN-1216.4994
2602ING Liquid Fund - Institutional - Weekly Dividend31-JAN-1210.0563
2603ING Liquid Fund - Super Institutional - Daily Dividend31-JAN-1210.0048
2604ING Liquid Fund - Super Institutional - Growth31-JAN-1215.7443
2605ING Liquid Fund - Super Institutional - Weekly Dividend31-JAN-1210.0000
2606ING MIP Fund - Annual Dividend31-JAN-1210.9950
2607ING MIP Fund - Growth31-JAN-1215.1052
2608ING MIP Fund - Half Yearly Dividend31-JAN-1210.9608
2609ING MIP Fund - Monthly Dividend30-JAN-1210.4546
2610ING MIP Fund - Quarterly Dividend31-JAN-1211.5211
2611ING Midcap Fund - Dividend31-JAN-1213.2400
2612ING Midcap Fund - Growth31-JAN-1219.1600
2613ING OptiMix 5 Star Multi - Manager FoF Scheme - Dividend31-JAN-1212.2714
2614ING OptiMix 5 Star Multi - Manager FoF Scheme - Growth30-JAN-1213.9259
2615ING OptiMix Active Debt Multi - Manager FoF Scheme - Dividend31-JAN-1210.8430
2616ING OptiMix Active Debt Multi - Manager FoF Scheme - Growth31-JAN-1214.4243
2617ING OptiMix Asset Allocator Multi-Manager FoF - Dividend31-JAN-1212.3474
2618ING OptiMix Asset Allocator Multi-Manager FoF - Growth31-JAN-1213.4035
2619ING OptiMix Financial Planning Fund - Aggressive Plan - Growth31-JAN-12 9.7513
2620ING OptiMix Financial Planning Fund - Aggressive Plan - Half Yearly Dividend31-JAN-12 9.7505
2621ING OptiMix Financial Planning Fund - Cautious Plan - Dividend31-JAN-1210.5633
2622ING OptiMix Financial Planning Fund - Cautious Plan - Growth31-JAN-1210.6147
2623ING OptiMix Financial Planning Fund - Conservative Plan - Growth31-JAN-1210.5670
2624ING OptiMix Financial Planning Fund - Conservative Plan - Quarterly Dividend31-JAN-1210.5463
2625ING OptiMix Financial Planning Fund - Prudent Plan - Growth31-JAN-1210.2414
2626ING OptiMix Financial Planning Fund - Prudent Plan - Quarterly Dividend31-JAN-1210.2416
2627ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan A - Dividend07-JAN-0811.6431
2628ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan A - Growth07-JAN-0811.6431
2629ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan B - Dividend07-JAN-0811.8969
2630ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan B - Growth07-JAN-0811.8969
2631ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan C - Dividend06-FEB-0811.7241
2632ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan C - Growth06-FEB-0811.7241
2633ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan D - Dividend06-FEB-0811.9130
2634ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan D - Growth06-FEB-0811.9130
2635ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan E - Dividend06-FEB-0812.0457
2636ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan E - Growth06-FEB-0812.0457
2637ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan F - Dividend06-FEB-0812.1669
2638ING OptiMix Financial Planning Multi - Manager FoF Scheme Plan F - Growth06-FEB-0812.1669
2639ING OptiMix Global Commodities Fund - Dividend30-JAN-1213.5632
2640ING OptiMix Global Commodities Fund - Growth30-JAN-1213.5725
2641ING OptiMix Income Growth Multi Manager - 15% Equity Plan - A - Dividend31-JAN-1211.8989
2642ING OptiMix Income Growth Multi Manager - 15% Equity Plan - A - Growth31-JAN-1212.3043
2643ING OptiMix Income Growth Multi Manager - 30% Equity Plan - A - Dividend31-JAN-1212.7575
2644ING OptiMix Income Growth Multi Manager - 30% Equity Plan - A - Growth31-JAN-1213.1964
2645ING OptiMix Multi Manager Equity Fund Plan A - Dividend31-JAN-12 9.2800
2646ING OptiMix Multi Manager Equity Fund Plan A - Growth31-JAN-12 9.2700
2647ING OptiMix Retireinvest Fund Series I - Dividend31-JAN-1210.9800
2648ING OptiMix Retireinvest Fund Series I - Growth31-JAN-1210.9800
2649ING Select Debt Fund - Bonus24-JUL-0811.4892
2650ING Select Debt Fund - Growth24-JUL-0811.4892
2651ING Select Debt Fund - Half Yearly Dividend24-JUL-0810.2407
2652ING Select Debt Fund - Quarterly Dividend24-JUL-0810.1576
2653ING Select Debt Fund - Yearly Dividend24-JUL-0810.1940
2654ING Short Term Income Fund - Dividend31-JAN-1212.4643
2655ING Short Term Income Fund - Growth31-JAN-1219.6539
2656ING Tax Savings Fund - Bonus31-JAN-1226.9700
2657ING Tax Savings Fund - Dividend31-JAN-1213.2800
2658ING Tax Savings Fund - Growth31-JAN-1226.9300
2659ING Treasury Advantage Fund - Institutional - Daily Dividend Option31-JAN-1210.0033
2660ING Treasury Advantage Fund - Institutional - Growth Option31-JAN-1214.2669
2661ING Treasury Advantage Fund - Institutional - Monthly Dividend Option31-JAN-1210.0000
2662ING Treasury Advantage Fund - Institutional - Quarterly Dividend Option31-JAN-1210.0000
2663ING Treasury Advantage Fund - Institutional - Weekly Dividend Option31-JAN-1210.0000
2664ING Treasury Advantage Fund - Regular - Daily Dividend Option31-JAN-1210.0026
2665ING Treasury Advantage Fund - Regular - Growth Option30-JAN-1214.0760
2666ING Treasury Advantage Fund - Regular - Monthly Dividend Option31-JAN-1210.7292
2667ING Treasury Advantage Fund - Regular - Quarterly Dividend Option31-JAN-1210.5806
2668ING Treasury Advantage Fund - Regular - Weekly Dividend Option31-JAN-1210.0383
2669Indiabulls Liquid Fund - Daily Dividend31-JAN-121000.0000
2670Indiabulls Liquid Fund - Fortnightly Dividend31-JAN-121000.0000
2671Indiabulls Liquid Fund - Growth31-JAN-121025.5720
2672Indiabulls Liquid Fund - Monthly Dividend31-JAN-121007.6251
2673Indiabulls Liquid Fund - Weekly Dividend31-JAN-121000.2626
2674Indiabulls Ultra Short Term Fund - Daily Dividend31-JAN-121000.0000
2675Indiabulls Ultra Short Term Fund - Fortnightly Dividend31-JAN-121000.0000
2676Indiabulls Ultra Short Term Fund - Growth31-JAN-121006.7677
2677Indiabulls Ultra Short Term Fund - Monthly Dividend31-JAN-121001.5350
2678Indiabulls Ultra Short Term Fund - Weekly Dividend31-JAN-121000.2557
2679JM Arbitrage Advantage Fund - Dividend31-JAN-1210.3508
2680JM Arbitrage Advantage Fund - Growth31-JAN-1214.6804
2681JM Balanced Fund - Dividend31-JAN-1215.3400
2682JM Balanced Fund - Growth31-JAN-1221.5072
2683JM Basic Fund - Dividend31-JAN-12 8.3603
2684JM Basic Fund - Growth31-JAN-1211.9734
2685JM Core 11 Fund - Dividend31-JAN-12 3.2566
2686JM Core 11 Fund - Growth31-JAN-12 3.2566
2687JM Equity Fund - Dividend31-JAN-1213.0282
2688JM Equity Fund - Growth31-JAN-1232.0056
2689JM Fixed Maturity Fund - Series XIX - Plan A - Dividend31-JAN-1210.9645
2690JM Fixed Maturity Fund - Series XIX - Plan A - Growth31-JAN-1210.9645
2691JM Fixed Maturity Fund - Series XIX - Plan C - Dividend31-JAN-1210.8855
2692JM Fixed Maturity Fund - Series XIX - Plan C - Growth31-JAN-1210.8855
2693JM Fixed Maturity Fund - Series XIX - Plan D - Dividend31-JAN-1210.8877
2694JM Fixed Maturity Fund - Series XIX - Plan D - Growth31-JAN-1210.8877
2695JM Fixed Maturity Fund - Series XX - Plan A - Dividend31-JAN-1210.4765
2696JM Fixed Maturity Fund - Series XX - Plan A - Growth31-JAN-1210.4765
2697JM Fixed Maturity Fund - Series XX - Plan B - Dividend31-JAN-1210.3055
2698JM Fixed Maturity Fund - Series XX - Plan B - Growth31-JAN-1210.3055
2699JM Fixed Maturity Fund - Series XX - Plan C - Dividend31-JAN-1210.3594
2700JM Fixed Maturity Fund - Series XX - Plan C - Growth31-JAN-1210.3594
2701JM Floater Fund - Long Term Plan Fund - Premium Plan - Daily Dividend31-JAN-1210.0031
2702JM Floater Fund - Long Term Plan Fund - Premium Plan - Dividend31-JAN-1210.3201
2703JM Floater Fund - Long Term Plan Fund - Premium Plan - Growth31-JAN-1215.8757
2704JM Floater Fund - Long Term Plan Fund - Premium Plan - Weekly Dividend31-JAN-1210.5081
2705JM Floater Fund - Long Term Plan Fund - Regular - Daily Dividend31-JAN-1210.0031
2706JM Floater Fund - Long Term Plan Fund - Regular - Dividend31-JAN-1216.5154
2707JM Floater Fund - Long Term Plan Fund - Regular - Growth31-JAN-1216.4590
2708JM Floater Fund - Long Term Plan Fund - Regular - Weekly Dividend31-JAN-1210.4738
2709JM Floater Fund - Short Term Plan - Dividend31-JAN-1210.0883
2710JM Floater Fund - Short Term Plan - Growth31-JAN-1216.7198
2711JM G-Sec Fund - PF Plan - Dividend08-APR-0821.1668
2712JM G-Sec Fund - PF Plan - Growth08-APR-0823.1087
2713JM G-Sec Fund - Regular - Bonus31-JAN-1216.3557
2714JM G-Sec Fund - Regular - Dividend31-JAN-1215.7991
2715JM G-Sec Fund - Regular - Growth31-JAN-1233.6324
2716JM High Liquidity Fund - Institutional - Daily Dividend31-JAN-1210.0159
2717JM High Liquidity Fund - Institutional - Dividend31-JAN-1210.6695
2718JM High Liquidity Fund - Institutional - Growth31-JAN-1217.3894
2719JM High Liquidity Fund - Institutional - Weekly Dividend05-JAN-1210.0626
2720JM High Liquidity Fund - Regular - Bonus31-JAN-1215.1266
2721JM High Liquidity Fund - Regular - Daily Dividend31-JAN-1210.4302
2722JM High Liquidity Fund - Regular - Growth31-JAN-1228.8048
2723JM High Liquidity Fund - Regular - Quarterly Dividend31-JAN-1216.3038
2724JM High Liquidity Fund - Regular - Weekly Dividend31-JAN-1210.9164
2725JM High Liquidity Fund - Super Institutional - Daily Dividend31-JAN-1210.0165
2726JM High Liquidity Fund - Super Institutional - Growth31-JAN-1216.5436
2727JM High Liquidity Fund - Super Institutional - Weekly Dividend31-JAN-1210.0677
2728JM Income Fund - Bonus31-JAN-1212.9664
2729JM Income Fund - Dividend31-JAN-1211.2133
2730JM Income Fund - Growth31-JAN-1231.6944
2731JM Interval Fund - Quarterly Plan 1 - Institutional - Dividend31-JAN-1210.1029
2732JM Interval Fund - Quarterly Plan 1 - Institutional - Growth31-JAN-1213.5944
2733JM Interval Fund - Quarterly Plan 1 - Regular - Dividend31-JAN-1210.1000
2734JM Interval Fund - Quarterly Plan 1 - Regular - Growth31-JAN-1213.4234
2735JM Interval Fund - Quarterly Plan 5 - Institutional - Dividend06-MAR-0910.0009
2736JM Interval Fund - Quarterly Plan 5 - Institutional - Growth24-FEB-0911.0076
2737JM Interval Fund - Quarterly Plan 5 - Regular - Dividend06-MAR-0910.0002
2738JM Interval Fund - Quarterly Plan 5 - Regular - Growth06-MAR-0910.9763
2739JM Money Manager Fund - Regular - Dividend31-JAN-1210.0112
2740JM Money Manager Fund - Regular - Fortnightly Dividend31-JAN-1210.1918
2741JM Money Manager Fund - Regular - Growth31-JAN-1214.5934
2742JM Money Manager Fund - Regular - Weekly Dividend31-JAN-1210.5155
2743JM Money Manager Fund - Super Plan - Dividend31-JAN-1210.0118
2744JM Money Manager Fund - Super Plan - Fortnightly Dividend31-JAN-1210.2415
2745JM Money Manager Fund - Super Plan - Growth31-JAN-1215.0143
2746JM Money Manager Fund - Super Plan - Weekly Dividend31-JAN-1210.5467
2747JM Money Manager Fund - Super Plus Plan - Dividend31-JAN-1210.0053
2748JM Money Manager Fund - Super Plus Plan - Fortnightly Dividend31-JAN-1210.2926
2749JM Money Manager Fund - Super Plus Plan - Growth31-JAN-1214.9153
2750JM Money Manager Fund - Super Plus Plan - Weekly Dividend31-JAN-1210.5453
2751JM Monthly Income Plan Fund - Annual Dividend31-JAN-1212.7578
2752JM Monthly Income Plan Fund - Growth31-JAN-1215.8807
2753JM Monthly Income Plan Fund - Monthly Dividend31-JAN-1210.2318
2754JM Monthly Income Plan Fund - Quarterly Dividend31-JAN-1211.9661
2755JM Multi Strategy Fund - Dividend31-JAN-1211.0394
2756JM Multi Strategy Fund - Growth31-JAN-1211.8696
2757JM Short Term Fund - Institutional - Daily Dividend31-JAN-1210.0068
2758JM Short Term Fund - Institutional - Dividend31-JAN-1210.5118
2759JM Short Term Fund - Institutional - Growth31-JAN-1215.0426
2760JM Short Term Fund - Regular - Daily Dividend31-JAN-1210.0055
2761JM Short Term Fund - Regular - Dividend31-JAN-1211.5795
2762JM Short Term Fund - Regular - Growth31-JAN-1220.7623
2763JM Tax Gain Fund - Dividend31-JAN-12 6.0792
2764JM Tax Gain Fund - Growth31-JAN-12 6.0792
2765JPMorgan EEMEA Equity Offshore Fund - Growth31-JAN-12 9.2090
2766JPMorgan India Active Bond Fund - Institutional - Dividend24-NOV-0910.0364
2767JPMorgan India Active Bond Fund - Institutional - Growth05-JAN-1110.1685
2768JPMorgan India Active Bond Fund - Retail - Dividend31-JAN-1211.0621
2769JPMorgan India Active Bond Fund - Retail - Growth31-JAN-1211.7525
2770JPMorgan India Capital Protection Oriented Fund - Dividend31-JAN-1210.3703
2771JPMorgan India Capital Protection Oriented Fund - Growth31-JAN-1210.3703
2772JPMorgan India Equity Fund - Dividend31-JAN-1211.4610
2773JPMorgan India Equity Fund - Growth31-JAN-1212.3430
2774JPMorgan India Fixed Maturity Plan 367 Days Series 1 - Dividend31-JAN-1210.8463
2775JPMorgan India Fixed Maturity Plan 367 Days Series 1 - Growth31-JAN-1210.8463
2776JPMorgan India Fixed Maturity Plan 400 Days Series 1 - Dividend31-JAN-1210.9303
2777JPMorgan India Fixed Maturity Plan 400 Days Series 1 - Growth31-JAN-1210.9303
2778JPMorgan India Liquid Fund - Daily Dividend31-JAN-1210.0150
2779JPMorgan India Liquid Fund - Fortnightly Dividend31-JAN-1210.0025
2780JPMorgan India Liquid Fund - Growth31-JAN-1212.5380
2781JPMorgan India Liquid Fund - Monthly Dividend31-JAN-1210.0302
2782JPMorgan India Liquid Fund - Super Institutional - Daily Dividend31-JAN-1210.0079
2783JPMorgan India Liquid Fund - Super Institutional - Growth31-JAN-1213.6829
2784JPMorgan India Liquid Fund - Super Institutional - Monthly Dividend31-JAN-1210.0482
2785JPMorgan India Liquid Fund - Super Institutional - Weekly Dividend31-JAN-1210.1017
2786JPMorgan India Liquid Fund - Weekly Dividend31-JAN-1210.0328
2787JPMorgan India Short Term Income Fund - Fortnightly Dividend31-JAN-1210.0212
2788JPMorgan India Short Term Income Fund - Growth31-JAN-1211.5297
2789JPMorgan India Short Term Income Fund - Monthly Dividend31-JAN-1210.0563
2790JPMorgan India Short Term Income Fund - Weekly Dividend31-JAN-1210.0321
2791JPMorgan India Smaller Companies Fund - Dividend31-JAN-12 7.0110
2792JPMorgan India Smaller Companies Fund - Growth31-JAN-12 7.0110
2793JPMorgan India Tax Advantage Fund - Dividend31-JAN-1213.8360
2794JPMorgan India Tax Advantage Fund - Growth31-JAN-1217.0850
2795JPMorgan India Treasury Fund - Daily Dividend31-JAN-1210.0353
2796JPMorgan India Treasury Fund - Fortnightly Dividend12-AUG-0910.0347
2797JPMorgan India Treasury Fund - Growth31-JAN-1212.6038
2798JPMorgan India Treasury Fund - Monthly Dividend31-JAN-1210.0469
2799JPMorgan India Treasury Fund - Super Institutional - Daily Dividend31-JAN-1210.0089
2800JPMorgan India Treasury Fund - Super Institutional - Fortnightly Dividend30-MAR-0910.0946
2801JPMorgan India Treasury Fund - Super Institutional - Growth31-JAN-1213.8218
2802JPMorgan India Treasury Fund - Super Institutional - Monthly Dividend31-JAN-1210.0221
2803JPMorgan India Treasury Fund - Super Institutional - Weekly Dividend31-JAN-1210.0820
2804JPMorgan India Treasury Fund - Weekly Dividend31-JAN-1210.0890
2805JPMorgan JF ASEAN Equity Offshore Fund - Growth31-JAN-1210.8270
2806JPMorgan JF Greater China Equity Off-Shore Fund - Growth31-JAN-1211.1300
2807KOTAK PSU BANK ETF31-JAN-12347.0731
2808KOTAK SENSEX ETF31-JAN-12176.6366
2809Kotak 50 - Dividend31-JAN-1228.3860
2810Kotak 50 - Growth31-JAN-1296.1420
2811Kotak Balance31-JAN-1221.0510
2812Kotak Bond - Regular Plan - Annual31-JAN-1220.0535
2813Kotak Bond - Regular Plan - Bonus31-JAN-1220.0007
2814Kotak Bond - Regular Plan - Dividend31-JAN-1210.6921
2815Kotak Bond - Regular Plan - Growth31-JAN-1230.0057
2816Kotak Bond Deposit Plan-Dividend31-JAN-1212.4596
2817Kotak Bond Deposit Plan-Growth31-JAN-1227.9872
2818Kotak Bond Short Term Plan-Dividend30-JAN-1210.1142
2819Kotak Bond Short Term Plan-Growth31-JAN-1219.8945
2820Kotak Contra - Dividend31-JAN-1215.7070
2821Kotak Contra - Growth31-JAN-1219.4890
2822Kotak Credit Opportunities Fund - Annual Dividend31-JAN-1210.9641
2823Kotak Credit Opportunities Fund - Growth31-JAN-1211.2835
2824Kotak Credit Opportunities Fund - Monthly Dividend31-JAN-1210.1304
2825Kotak Credit Opportunities Fund - Quarterly Dividend31-JAN-1210.2848
2826Kotak Credit Opportunities Fund - Weekly Dividend31-JAN-1210.0107
2827Kotak Emerging Equity Scheme - Dividend31-JAN-12 9.6460
2828Kotak Emerging Equity Scheme - Growth31-JAN-1210.3300
2829Kotak Equity Arbitrage Fund - Dividend31-JAN-1210.6205
2830Kotak Equity Arbitrage Fund - Growth31-JAN-1215.5877
2831Kotak Equity FOF - Dividend Option31-JAN-1232.1750
2832Kotak Equity FOF - Growth Option31-JAN-1233.0540
2833Kotak FMP 15M Series 6 - Dividend31-JAN-1210.6700
2834Kotak FMP 15M Series 6 - Growth31-JAN-1211.0627
2835Kotak FMP 15M Series 7 - Dividend31-JAN-1211.0769
2836Kotak FMP 15M Series 7 - Growth31-JAN-1211.0769
2837Kotak FMP 18M Series 6 - Dividend31-JAN-1210.6817
2838Kotak FMP 18M Series 6 - Growth31-JAN-1210.6817
2839Kotak FMP 24M Series 1 - Dividend31-JAN-1211.3566
2840Kotak FMP 24M Series 1 - Growth31-JAN-1211.3566
2841Kotak FMP 24M Series 2 - Dividend31-JAN-1211.0641
2842Kotak FMP 24M Series 2 - Growth31-JAN-1211.0641
2843Kotak FMP 24M Series 4 - Dividend31-JAN-1210.7933
2844Kotak FMP 24M Series 4 - Growth31-JAN-1210.7933
2845Kotak FMP Series 33 - Dividend31-JAN-1210.9569
2846Kotak FMP Series 33 - Growth31-JAN-1210.9569
2847Kotak FMP Series 34 - Dividend31-JAN-1210.0910
2848Kotak FMP Series 34 - Growth31-JAN-1210.9537
2849Kotak FMP Series 35 - Dividend31-JAN-1210.9435
2850Kotak FMP Series 35 - Growth31-JAN-1210.9435
2851Kotak FMP Series 36 - Dividend31-JAN-1210.9534
2852Kotak FMP Series 36 - Growth31-JAN-1210.9534
2853Kotak FMP Series 37 - Dividend31-JAN-1210.0891
2854Kotak FMP Series 37 - Growth31-JAN-1210.9445
2855Kotak FMP Series 38 - Dividend31-JAN-1210.0908
2856Kotak FMP Series 38 - Growth31-JAN-1210.9368
2857Kotak FMP Series 39 - Dividend31-JAN-1210.8829
2858Kotak FMP Series 39 - Growth31-JAN-1210.8829
2859Kotak FMP Series 40 - Dividend31-JAN-1210.8637
2860Kotak FMP Series 40 - Growth31-JAN-1210.8637
2861Kotak FMP Series 41 - Dividend31-JAN-1210.8003
2862Kotak FMP Series 41 - Growth31-JAN-1210.8003
2863Kotak FMP Series 42 - Dividend31-JAN-1210.8488
2864Kotak FMP Series 42 - Growth31-JAN-1210.8488
2865Kotak FMP Series 43 - Dividend31-JAN-1210.8530
2866Kotak FMP Series 43 - Growth31-JAN-1210.8530
2867Kotak FMP Series 44 - Dividend31-JAN-1210.7281
2868Kotak FMP Series 44 - Growth31-JAN-1210.7281
2869Kotak FMP Series 45 - Dividend31-JAN-1210.7247
2870Kotak FMP Series 45 - Growth31-JAN-1210.7247
2871Kotak FMP Series 46 - Dividend31-JAN-1210.6569
2872Kotak FMP Series 46 - Growth31-JAN-1210.6569
2873Kotak FMP Series 47 - Dividend31-JAN-1210.6174
2874Kotak FMP Series 47 - Growth31-JAN-1210.6174
2875Kotak FMP Series 48 - Dividend31-JAN-1210.6528
2876Kotak FMP Series 48 - Growth31-JAN-1210.6528
2877Kotak FMP Series 49 - Dividend31-JAN-1210.5878
2878Kotak FMP Series 49 - Growth31-JAN-1210.5878
2879Kotak FMP Series 50 - Dividend31-JAN-1210.5892
2880Kotak FMP Series 50 - Growth31-JAN-1210.5892
2881Kotak FMP Series 51 - Dividend31-JAN-1210.5581
2882Kotak FMP Series 51 - Growth31-JAN-1210.5581
2883Kotak FMP Series 52 - Dividend31-JAN-1210.5179
2884Kotak FMP Series 52 - Growth31-JAN-1210.5179
2885Kotak FMP Series 53 - Dividend31-JAN-1210.5696
2886Kotak FMP Series 53 - Growth31-JAN-1210.5696
2887Kotak FMP Series 54 - Dividend31-JAN-1210.4692
2888Kotak FMP Series 54 - Growth31-JAN-1210.4692
2889Kotak FMP Series 55 - Dividend31-JAN-1210.4157
2890Kotak FMP Series 55 - Growth31-JAN-1210.4157
2891Kotak FMP Series 56 - Dividend31-JAN-1210.4099
2892Kotak FMP Series 56 - Growth31-JAN-1210.4099
2893Kotak FMP Series 57 - Dividend31-JAN-1210.2888
2894Kotak FMP Series 57 - Growth31-JAN-1210.2888
2895Kotak FMP Series 58 - Dividend31-JAN-1210.3334
2896Kotak FMP Series 58 - Growth31-JAN-1210.3334
2897Kotak FMP Series 59 - Dividend31-JAN-1210.3043
2898Kotak FMP Series 59 - Growth31-JAN-1210.3043
2899Kotak FMP Series 60 - Dividend31-JAN-1210.2251
2900Kotak FMP Series 60 - Growth31-JAN-1210.2251
2901Kotak FMP Series 61 - Dividend31-JAN-1210.2679
2902Kotak FMP Series 61 - Growth31-JAN-1210.2679
2903Kotak FMP Series 62 - Dividend31-JAN-1210.2216
2904Kotak FMP Series 62 - Growth31-JAN-1210.2216
2905Kotak FMP Series 63 - Dividend31-JAN-1210.2893
2906Kotak FMP Series 63 - Growth31-JAN-1210.2893
2907Kotak FMP Series 64 - Dividend31-JAN-1210.2305
2908Kotak FMP Series 64 - Growth31-JAN-1210.2305
2909Kotak FMP Series 65 - Dividend31-JAN-1210.1821
2910Kotak FMP Series 65 - Growth31-JAN-1210.1821
2911Kotak FMP Series 66 - Dividend31-JAN-1210.1628
2912Kotak FMP Series 66 - Growth31-JAN-1210.1628
2913Kotak FMP Series 67 - Dividend31-JAN-1210.1652
2914Kotak FMP Series 67 - Growth31-JAN-1210.1652
2915Kotak FMP Series 68 - Dividend31-JAN-1210.1000
2916Kotak FMP Series 68 - Growth31-JAN-1210.1000
2917Kotak FMP Series 69 - Dividend31-JAN-1210.0840
2918Kotak FMP Series 69 - Growth31-JAN-1210.0840
2919Kotak FMP Series 70 - Dividend31-JAN-1210.0379
2920Kotak FMP Series 70 - Growth31-JAN-1210.0379
2921Kotak FMP Series 71 - Dividend31-JAN-1210.0290
2922Kotak FMP Series 71 - Growth31-JAN-1210.0290
2923Kotak Flexi Debt - Daily Dividend31-JAN-1210.1604
2924Kotak Flexi Debt - Dividend31-JAN-1210.4516
2925Kotak Flexi Debt - Growth31-JAN-1216.2630
2926Kotak Flexi Debt - Institutional - Daily Dividend31-JAN-1210.0475
2927Kotak Flexi Debt - Institutional - Growth31-JAN-1213.0456
2928Kotak Flexi Debt - Institutional - Weekly Dividend31-JAN-1210.3553
2929Kotak Flexi Debt - Weekly Dividend31-JAN-1210.0369
2930Kotak Floater Long Term - Daily Dividend31-JAN-1210.0798
2931Kotak Floater Long Term - Growth31-JAN-1216.8059
2932Kotak Floater Long Term - Monthly Dividend31-JAN-1210.1002
2933Kotak Floater Long Term - Weekly Dividend31-JAN-1210.0771
2934Kotak Floater Short Term - Daily Dividend31-JAN-1210.1162
2935Kotak Floater Short Term - Growth31-JAN-1217.2793
2936Kotak Floater Short Term - Monthly Dividend31-JAN-1210.0621
2937Kotak Floater Short Term - Weekly Dividend31-JAN-1210.1222
2938Kotak Gilt Investment P F and Trust Plan - Dividend31-JAN-1211.2716
2939Kotak Gilt Investment P F and Trust Plan - Growth31-JAN-1236.3706
2940Kotak Gilt Investment Plan-Dividend31-JAN-1213.0991
2941Kotak Gilt Investment Plan-Growth31-JAN-1235.6232
2942Kotak Gilt Savings Plan - Annual Dividend31-JAN-1215.8753
2943Kotak Gilt Savings Plan-Dividend31-JAN-1210.4991
2944Kotak Gilt Savings Plan-Growth31-JAN-1223.7409
2945Kotak Global Emerging Market Fund - Dividend31-JAN-12 9.9250
2946Kotak Global Emerging Market Fund - Growth31-JAN-12 9.9250
2947Kotak Gold ETF31-JAN-122732.0595
2948Kotak Gold Fund - Dividend31-JAN-1213.3295
2949Kotak Gold Fund - Growth31-JAN-1213.3295
2950Kotak Hybrid Fixed Term Plan - Series I - Dividend31-JAN-1210.0372
2951Kotak Hybrid Fixed Term Plan - Series I - Growth31-JAN-1210.0372
2952Kotak Liquid Institutional Plan - Daily Dividend31-JAN-1212.2281
2953Kotak Liquid Institutional Plan - Dividend30-JAN-1210.1077
2954Kotak Liquid Institutional Plan - Growth31-JAN-1220.7018
2955Kotak Liquid Institutional Premium Plan - Daily Dividend30-JAN-1212.2281
2956Kotak Liquid Institutional Premium Plan - Growth31-JAN-1221.4170
2957Kotak Liquid Institutional Premium Plan - Weekly Dividend31-JAN-1210.0000
2958Kotak Liquid Plan-Dividend31-JAN-1210.0246
2959Kotak Liquid Plan-Growth31-JAN-1220.1829
2960Kotak Mid-Cap Fund - Dividend31-JAN-1214.2710
2961Kotak Mid-Cap Fund - Growth31-JAN-1222.6230
2962Kotak Monthly Income Plan - Growth31-JAN-1216.2674
2963Kotak Monthly Income Plan - Monthly Dividend31-JAN-1210.4295
2964Kotak Monthly Income Plan - Quarterly Dividend31-JAN-1210.6926
2965Kotak Multi Asset Allocation Fund - Annual Dividend31-JAN-1210.8492
2966Kotak Multi Asset Allocation Fund - Growth31-JAN-1210.8721
2967Kotak Multi Asset Allocation Fund - Monthly Dividend31-JAN-1210.7252
2968Kotak Multi Asset Allocation Fund - Quarterly Dividend31-JAN-1210.7205
2969Kotak Nifty ETF31-JAN-12528.2342
2970Kotak Opportunities Fund - Dividend31-JAN-1213.2460
2971Kotak Opportunities Fund - Growth31-JAN-1242.4980
2972Kotak Quarterly Interval Plan - Series 1 - Dividend31-JAN-1210.1209
2973Kotak Quarterly Interval Plan - Series 1 - Growth31-JAN-1213.9752
2974Kotak Quarterly Interval Plan - Series 2 - Dividend31-JAN-1210.1106
2975Kotak Quarterly Interval Plan - Series 2 - Growth27-JAN-1213.9158
2976Kotak Quarterly Interval Plan - Series 3 - Dividend31-JAN-1210.1992
2977Kotak Quarterly Interval Plan - Series 3 - Growth31-JAN-1213.6330
2978Kotak Quarterly Interval Plan - Series 4 - Dividend31-JAN-1210.1379
2979Kotak Quarterly Interval Plan - Series 4 - Growth31-JAN-1213.6531
2980Kotak Quarterly Interval Plan - Series 5 - Dividend31-JAN-1210.0332
2981Kotak Quarterly Interval Plan - Series 5 - Growth31-JAN-1213.3882
2982Kotak Quarterly Interval Plan - Series 6 - Dividend31-JAN-1210.2101
2983Kotak Quarterly Interval Plan - Series 6 - Growth31-JAN-1213.5541
2984Kotak Quarterly Interval Plan - Series 7 - Dividend31-JAN-1210.1783
2985Kotak Quarterly Interval Plan - Series 7 - Growth31-JAN-1212.7603
2986Kotak Quarterly Interval Plan - Series 8 - Dividend31-JAN-1210.1408
2987Kotak Quarterly Interval Plan - Series 8 - Growth31-JAN-1212.6977
2988Kotak Quarterly Interval Plan - Series 9 - Dividend31-JAN-1210.0555
2989Kotak Quarterly Interval Plan - Series 9 - Growth31-JAN-1212.5162
2990Kotak Quarterly Interval Plan - Series 10 - Dividend31-JAN-1210.0569
2991Kotak Quarterly Interval Plan - Series 10 - Growth31-JAN-1212.4005
2992Kotak Select Focus Fund - Dividend31-JAN-12 9.8000
2993Kotak Select Focus Fund - Growth31-JAN-1210.8560
2994Kotak Tax Saver Scheme - Dividend31-JAN-1210.1600
2995Kotak Tax Saver Scheme - Growth31-JAN-1216.5910
2996L&T Contra Fund - Dividend31-JAN-12 9.3600
2997L&T Contra Fund - Growth31-JAN-12 9.3600
2998L&T FMP - 1 - September 24 M Plan A - Dividend31-JAN-1211.0460
2999L&T FMP - 1 - September 24 M Plan A - Growth31-JAN-1211.0460
3000L&T FMP - II - January 15 M Plan A - Dividend31-JAN-1210.9434
3001L&T FMP - II - January 15 M Plan A - Growth31-JAN-1210.9434
3002L&T FMP - III - April 370 D Plan A - Dividend31-JAN-1210.7021
3003L&T FMP - III - April 370 D Plan A - Growth31-JAN-1210.7021
3004L&T FMP - III - February 366 D Plan A - Dividend31-JAN-1210.9058
3005L&T FMP - III - February 366 D Plan A - Growth31-JAN-1210.9058
3006L&T FMP - III - January 369 D Plan A - Dividend31-JAN-1210.9485
3007L&T FMP - III - January 369 D Plan A - Growth31-JAN-1210.9485
3008L&T FMP - III - June 366 D Plan A - Dividend31-JAN-1210.5911
3009L&T FMP - III - June 366 D Plan A - Growth31-JAN-1210.5911
3010L&T FMP - III - March 366 D Plan A - Dividend31-JAN-1210.8537
3011L&T FMP - III - March 366 D Plan A - Growth31-JAN-1210.8537
3012L&T FMP - IV - July 24 M Plan A - Dividend31-JAN-1210.4299
3013L&T FMP - IV - July 24 M Plan A - Growth31-JAN-1210.4299
3014L&T FMP - IV - June 367 D Plan A - Dividend31-JAN-1210.5175
3015L&T FMP - IV - June 367 D Plan A - Growth31-JAN-1210.5175
3016L&T FMP - IV - September 367 D Plan A - Dividend31-JAN-1210.2894
3017L&T FMP - IV - September 367 D Plan A - Growth31-JAN-1210.2894
3018L&T FMP - V - December 366 D Plan A - Dividend30-JAN-1210.0367
3019L&T FMP - V - December 366 D Plan A - Growth30-JAN-1210.0367
3020L&T FMP - V - December 368 D Plan A - Dividend30-JAN-1210.0941
3021L&T FMP - V - December 368 D Plan A - Growth30-JAN-1210.0941
3022L&T FMP - V - December 90 D Plan A - Dividend30-JAN-1210.1059
3023L&T FMP - V - December 90 D Plan A - Growth30-JAN-1210.1059
3024L&T FMP - V - November 90 D Plan A - Dividend31-JAN-1210.1932
3025L&T FMP - V - November 90 D Plan A - Growth31-JAN-1210.1932
3026L&T FMP - V - November 90 D Plan B - Dividend31-JAN-1210.1572
3027L&T FMP - V - November 90 D Plan B - Growth31-JAN-1210.1572
3028L&T Floating Rate Fund - Cumulative31-JAN-1215.3479
3029L&T Floating Rate Fund - Daily Dividend31-JAN-1210.8591
3030L&T Floating Rate Fund - Monthly Dividend31-JAN-1210.6850
3031L&T Floating Rate Fund - Weekly Dividend31-JAN-1212.1466
3032L&T Gilt Investment Plan - Quarterly Dividend31-JAN-1211.0550
3033L&T Gilt Investment Plan-Cumulative31-JAN-1223.5310
3034L&T Growth Fund - Growth31-JAN-1236.8200
3035L&T Growth Fund - Quarterly Dividend31-JAN-1217.4300
3036L&T Hedged Equity Fund - Cumulative31-JAN-1212.5400
3037L&T Hedged Equity Fund - Dividend31-JAN-12 8.9000
3038L&T Infrastructure Fund - Dividend31-JAN-12 5.9100
3039L&T Infrastructure Fund - Growth31-JAN-12 5.9100
3040L&T Liquid Fund - Institutional Plus - Cumulative31-JAN-122123.6049
3041L&T Liquid Fund - Institutional Plus - Weekly Dividend31-JAN-121392.8819
3042L&T Liquid Fund - Regular Cumulative31-JAN-122084.8881
3043L&T Liquid Fund - Regular Weekly Dividend31-JAN-121200.4588
3044L&T Liquid Fund - Super Institutional - Cumulative31-JAN-121448.7381
3045L&T Liquid Fund - Super Institutional - Daily Dividend31-JAN-121011.6349
3046L&T Liquid Fund - Super Institutional - Weekly Dividend02-APR-0810.0000
3047L&T MIP - Wealth Builder Fund - Growth31-JAN-1210.2042
3048L&T MIP - Wealth Builder Fund - Monthly Dividend31-JAN-1210.2042
3049L&T MIP - Wealth Builder Fund - Quarterly Dividend31-JAN-1210.2042
3050L&T Midcap Fund - Dividend31-JAN-1217.4500
3051L&T Midcap Fund - Growth31-JAN-1234.3400
3052L&T Monthly Income Plan - Regular - Cumulative31-JAN-1220.5180
3053L&T Monthly Income Plan - Regular - Monthly Dividend31-JAN-1211.2279
3054L&T Monthly Income Plan - Regular - Quarterly Dividend31-JAN-1211.3781
3055L&T Opportunities Fund - Cumulative31-JAN-1237.9500
3056L&T Opportunities Fund - Quarterly Dividend31-JAN-1214.9500
3057L&T Select Income Fund - Flexi Debt Fund - Institutional - Dividend31-JAN-1210.3873
3058L&T Select Income Fund - Flexi Debt Fund - Institutional - Growth31-JAN-1211.8414
3059L&T Select Income Fund - Flexi Debt Fund - Retail - Bonus31-JAN-1211.7217
3060L&T Select Income Fund - Flexi Debt Fund - Retail - Dividend31-JAN-1210.2583
3061L&T Select Income Fund - Flexi Debt Fund - Retail - Growth31-JAN-1211.7216
3062L&T Select Income Fund - Flexi Debt Fund - Retail - Quarterly Dividend31-JAN-1210.5083
3063L&T Short Term Debt Fund - Bonus31-JAN-1210.0960
3064L&T Short Term Debt Fund - Dividend31-JAN-1210.0960
3065L&T Short Term Debt Fund - Growth31-JAN-1210.0960
3066L&T Short Term Debt Fund - Quarterly Dividend31-JAN-1210.0960
3067L&T Tax Advantage Fund - Series I - Cumulative31-JAN-1218.4700
3068L&T Tax Advantage Fund - Series I - Dividend31-JAN-1211.7300
3069L&T Tax Saver Fund - Cumulative31-JAN-1213.8200
3070L&T Tax Saver Fund - Dividend31-JAN-1212.8400
3071L&T Triple Ace Scheme - 54 EA - Regular - Cumulative30-JAN-1227.9780
3072L&T Triple Ace Scheme - 54 EA - Regular - Dividend31-JAN-1211.4587
3073L&T Triple Ace Scheme - 54 EB - Regular - Cumulative31-JAN-1228.0065
3074L&T Triple Ace Scheme - 54 EB - Regular - Dividend31-JAN-1211.4587
3075L&T Triple Ace Scheme - Regular - Bonus31-JAN-1215.9575
3076L&T Triple Ace Scheme - Regular - Cumulative31-JAN-1228.0065
3077L&T Triple Ace Scheme - Regular - Quarterly31-JAN-1211.4587
3078L&T Triple Ace Scheme - Regular - Semi Annual31-JAN-1211.9996
3079L&T Ultra Short Term Fund - Institutional - Cumulative31-JAN-1217.0578
3080L&T Ultra Short Term Fund - Institutional - Daily Dividend31-JAN-1210.1552
3081L&T Ultra Short Term Fund - Institutional - Monthly Dividend31-JAN-1211.9993
3082L&T Ultra Short Term Fund - Institutional - Weekly Dividend31-JAN-1210.1850
3083L&T Ultra Short Term Fund - Regular - Cumulative31-JAN-1216.6860
3084L&T Ultra Short Term Fund - Regular - Daily Dividend31-JAN-1210.1552
3085L&T Ultra Short Term Fund - Regular - Monthly Dividend31-JAN-1211.5282
3086L&T Ultra Short Term Fund - Regular - Semi Annual Dividend31-JAN-1213.1111
3087LIC Nomura MF Balanced Fund - Dividend31-JAN-1211.1040
3088LIC Nomura MF Balanced Fund - Growth31-JAN-1252.5541
3089LIC Nomura MF Bond Fund-Dividend31-JAN-1211.1850
3090LIC Nomura MF Bond Fund-Growth31-JAN-1229.7776
3091LIC Nomura MF Children`s Fund31-JAN-12 9.4995
3092LIC Nomura MF Equity Fund - Dividend31-JAN-12 9.3416
3093LIC Nomura MF Equity Fund - Growth31-JAN-1223.7048
3094LIC Nomura MF Fixed Maturity Plan - Series 47 - Dividend31-JAN-1210.1626
3095LIC Nomura MF Fixed Maturity Plan - Series 47 - Growth31-JAN-1210.1626
3096LIC Nomura MF Fixed Maturity Plan - Series 48 - Dividend31-JAN-1210.4669
3097LIC Nomura MF Fixed Maturity Plan - Series 48 - Growth31-JAN-1210.4669
3098LIC Nomura MF Fixed Maturity Plan - Series 49 - Dividend31-JAN-1210.3360
3099LIC Nomura MF Fixed Maturity Plan - Series 49 - Growth31-JAN-1210.3360
3100LIC Nomura MF Floater - MIP - Growth31-JAN-1218.7263
3101LIC Nomura MF Floater - MIP - Monthly Dividend31-JAN-1210.0968
3102LIC Nomura MF Floater - MIP - Quarterly Dividend31-JAN-1210.3572
3103LIC Nomura MF Floater - MIP - Yearly Dividend31-JAN-1210.4935
3104LIC Nomura MF Floating Rate Fund - Short Term Plan - Daily Dividend31-JAN-1210.0200
3105LIC Nomura MF Floating Rate Fund - Short Term Plan - Growth31-JAN-1217.0691
3106LIC Nomura MF Floating Rate Fund - Short Term Plan - Weekly Dividend31-JAN-1210.1505
3107LIC Nomura MF Government Securities - Dividend31-JAN-1210.7760
3108LIC Nomura MF Government Securities - Growth31-JAN-1224.2555
3109LIC Nomura MF Government Securities - PF - Dividend31-JAN-1211.9494
3110LIC Nomura MF Government Securities - PF - Growth31-JAN-1213.9866
3111LIC Nomura MF Growth Fund31-JAN-1211.5852
3112LIC Nomura MF Growth Fund - Dividend31-JAN-1210.2742
3113LIC Nomura MF Income Plus Fund - Daily Dividend31-JAN-1210.0200
3114LIC Nomura MF Income Plus Fund - Growth31-JAN-1214.0493
3115LIC Nomura MF Income Plus Fund - Monthly Dividend31-JAN-1210.1046
3116LIC Nomura MF Income Plus Fund - Weekly Dividend31-JAN-1210.0234
3117LIC Nomura MF Index Fund - Nifty Plan - Dividend31-JAN-1210.6645
3118LIC Nomura MF Index Fund - Nifty Plan - Growth31-JAN-1228.9090
3119LIC Nomura MF Index Fund - Sensex Advantage Plan - Dividend31-JAN-1210.6869
3120LIC Nomura MF Index Fund - Sensex Advantage Plan - Growth31-JAN-1230.2105
3121LIC Nomura MF Index Fund - Sensex Plan - Dividend31-JAN-1211.0327
3122LIC Nomura MF Index Fund - Sensex Plan - Growth31-JAN-1232.1890
3123LIC Nomura MF India Vision Fund - Dividend31-JAN-12 7.8562
3124LIC Nomura MF India Vision Fund - Growth31-JAN-12 7.8566
3125LIC Nomura MF Infrastructure Fund - Dividend31-JAN-12 7.6507
3126LIC Nomura MF Infrastructure Fund - Growth31-JAN-12 7.6509
3127LIC Nomura MF Interval Fund - Annual Plan - Series 1 - Dividend31-JAN-1210.8588
3128LIC Nomura MF Interval Fund - Annual Plan - Series 1 - Growth31-JAN-1213.0267
3129LIC Nomura MF Interval Fund - Monthly Plan - Series 1 - Dividend31-JAN-1210.0375
3130LIC Nomura MF Interval Fund - Monthly Plan - Series 1 - Growth31-JAN-1213.2725
3131LIC Nomura MF Interval Fund - Quarterly Plan - Series 1 - Dividend31-JAN-1210.2168
3132LIC Nomura MF Interval Fund - Quarterly Plan - Series 1 - Growth31-JAN-1213.3463
3133LIC Nomura MF Interval Fund - Quarterly Plan - Series 2 - Dividend31-JAN-1210.1836
3134LIC Nomura MF Interval Fund - Quarterly Plan - Series 2 - Growth31-JAN-1213.0781
3135LIC Nomura MF Liquid Fund-Dividend31-JAN-1210.9801
3136LIC Nomura MF Liquid Fund-Growth31-JAN-1219.2233
3137LIC Nomura MF Monthly Income Plan - Growth31-JAN-1232.9104
3138LIC Nomura MF Monthly Income Plan - Monthly Dividend31-JAN-12 9.9974
3139LIC Nomura MF Monthly Income Plan - Quarterly Dividend31-JAN-1210.1806
3140LIC Nomura MF Monthly Income Plan - Yearly Dividend31-JAN-1210.2698
3141LIC Nomura MF Opportunities Fund - Dividend31-JAN-12 9.4155
3142LIC Nomura MF Opportunities Fund - Growth31-JAN-1216.5442
3143LIC Nomura MF Savings Plus Fund - Daily Dividend31-JAN-1210.0118
3144LIC Nomura MF Savings Plus Fund - Dividend27-JAN-1210.0858
3145LIC Nomura MF Savings Plus Fund - Growth31-JAN-1216.5776
3146LIC Nomura MF Savings Plus Fund - Weekly Dividend31-JAN-1210.0298
3147LIC Nomura MF Systematic Asset Allocation Fund - Dividend31-JAN-12 9.1412
3148LIC Nomura MF Systematic Asset Allocation Fund - Growth31-JAN-12 9.1391
3149LIC Nomura MF Taxplan - Dividend31-JAN-12 9.4557
3150LIC Nomura MF Taxplan - Growth Option31-JAN-1226.4095
3151LIC Nomura MF Top 100 Fund - Dividend31-JAN-12 7.2523
3152LIC Nomura MF Top 100 Fund - Growth31-JAN-12 7.2525
3153LIC Nomura MF Unit Linked Insurance Scheme31-JAN-12 9.4531
3154Mirae Asset Cash Management Fund - Bonus30-MAR-091007.7414
3155Mirae Asset Cash Management Fund - Daily Dividend31-JAN-121037.8783
3156Mirae Asset Cash Management Fund - Growth31-JAN-121149.0826
3157Mirae Asset Cash Management Fund - Monthly Dividend31-JAN-121122.7696
3158Mirae Asset Cash Management Fund - Weekly Dividend31-JAN-121123.1317
3159Mirae Asset China Advantage Fund - Regular Plan - Dividend31-JAN-12 9.8810
3160Mirae Asset China Advantage Fund - Regular Plan - Growth31-JAN-12 9.8810
3161Mirae Asset Emerging Bluechip Fund - Regular Plan - Dividend31-JAN-1210.7220
3162Mirae Asset Emerging Bluechip Fund - Regular Plan - Growth31-JAN-1210.7220
3163Mirae Asset Gilt Fund - Investment Plan - Bonus Plan28-JAN-1010.3442
3164Mirae Asset Gilt Fund - Investment Plan - Institutional Plan - Dividend20-APR-1010.3579
3165Mirae Asset Gilt Fund - Investment Plan - Institutional Plan - Growth13-AUG-1010.4448
3166Mirae Asset Gilt Fund - Investment Plan - Provident Fund Plan (Automatic Annual Reinvestment Option)19-OCT-1110.9022
3167Mirae Asset Gilt Fund - Investment Plan - Provident Fund Plan (Automatic Capital Appreciation Monthly Payout)31-JAN-1211.1321
3168Mirae Asset Gilt Fund - Investment Plan - Provident Fund Plan (Automatic Capital Appreciation Quarterly Payout)11-OCT-1110.8841
3169Mirae Asset Gilt Fund - Investment Plan - Provident Fund Plan (Defined Maturity Debt)19-JUL-1010.4229
3170Mirae Asset Gilt Fund - Investment Plan - Regular Plan - Dividend31-JAN-1211.1290
3171Mirae Asset Gilt Fund - Investment Plan - Regular Plan - Growth31-JAN-1211.1271
3172Mirae Asset Gilt Fund - Savings Plan - Bonus Plan19-NOV-0910.1769
3173Mirae Asset Gilt Fund - Savings Plan - Institutional Plan - Dividend25-MAR-0910.0766
3174Mirae Asset Gilt Fund - Savings Plan - Institutional Plan - Growth04-JUN-0910.0784
3175Mirae Asset Gilt Fund - Savings Plan - Provident Fund Plan (Automatic Capital Appreciation Half Yearly Payout)15-SEP-1010.2712
3176Mirae Asset Gilt Fund - Savings Plan - Provident Fund Plan (Automatic Capital Appreciation Quarterly Payout)31-JAN-1210.8196
3177Mirae Asset Gilt Fund - Savings Plan - Provident Fund Plan (Defined Maturity Debt)10-FEB-09 9.9161
3178Mirae Asset Gilt Fund - Savings Plan - Regular Plan - Dividend31-JAN-1210.8184
3179Mirae Asset Gilt Fund - Savings Plan - Regular Plan - Growth31-JAN-1210.8179
3180Mirae Asset Global Commodity Stocks Fund - Regular - Dividend31-JAN-1212.0600
3181Mirae Asset Global Commodity Stocks Fund - Regular - Growth31-JAN-1212.0600
3182Mirae Asset India China Consumption Fund - Regular - Dividend31-JAN-1210.4500
3183Mirae Asset India China Consumption Fund - Regular - Growth31-JAN-1210.4500
3184Mirae Asset India Liquid Fund - Institutional - Daily Dividend03-FEB-09923.6861
3185Mirae Asset India Liquid Fund - Institutional - Growth13-OCT-081040.0047
3186Mirae Asset India Liquid Fund - Institutional - Weekly Dividend28-JUL-081001.1378
3187Mirae Asset India Liquid Fund - Regular - Bonus06-DEC-101031.3217
3188Mirae Asset India Liquid Fund - Regular - Daily Dividend30-JAN-121047.4558
3189Mirae Asset India Liquid Fund - Regular - Growth31-JAN-121100.2931
3190Mirae Asset India Liquid Fund - Regular - Monthly Dividend31-JAN-121028.3879
3191Mirae Asset India Liquid Fund - Regular - Weekly Dividend31-JAN-121050.2602
3192Mirae Asset India Liquid Fund - Super Institutional - Daily Dividend10-NOV-08919.3133
3193Mirae Asset India Liquid Fund - Super Institutional - Growth16-OCT-08965.9260
3194Mirae Asset India Liquid Fund - Super Institutional - Weekly Dividend01-SEP-081000.9170
3195Mirae Asset India Opportunities Fund - Institutional - Dividend09-JUN-0910.7730
3196Mirae Asset India Opportunities Fund - Regular - Divdend31-JAN-1213.0630
3197Mirae Asset India Opportunities Fund - Regular - Growth31-JAN-1215.5940
3198Mirae Asset Short Term Bond Fund - Institutional Plan - Growth10-MAY-1010.1543
3199Mirae Asset Short Term Bond Fund - Institutional Plan - Monthly Dividend15-JAN-1010.0809
3200Mirae Asset Short Term Bond Fund - Institutional Plan - Weekly Dividend14-JAN-1010.1072
3201Mirae Asset Short Term Bond Fund - Regular Plan - Fortnightly Dividend30-JUL-1010.2306
3202Mirae Asset Short Term Bond Fund - Regular Plan - Growth31-JAN-1211.1471
3203Mirae Asset Short Term Bond Fund - Regular Plan - Monthly Dividend31-JAN-1210.0891
3204Mirae Asset Short Term Bond Fund - Regular Plan - Quarterly Dividend31-JAN-1210.8761
3205Mirae Asset Short Term Bond Fund - Regular Plan - Weekly Dividend31-JAN-1210.0848
3206Mirae Asset Ultra Short Term Bond Fund - Institutional - Daily Dividend04-MAY-09948.2968
3207Mirae Asset Ultra Short Term Bond Fund - Institutional - Growth16-OCT-08996.8429
3208Mirae Asset Ultra Short Term Bond Fund - Institutional - Monthly Dividend16-OCT-08950.2947
3209Mirae Asset Ultra Short Term Bond Fund - Institutional - Weekly Dividend13-OCT-08983.4845
3210Mirae Asset Ultra Short Term Bond Fund - Regular - Bonus26-MAR-101029.5489
3211Mirae Asset Ultra Short Term Bond Fund - Regular - Daily Dividend31-JAN-121095.8908
3212Mirae Asset Ultra Short Term Bond Fund - Regular - Growth31-JAN-121149.7266
3213Mirae Asset Ultra Short Term Bond Fund - Regular - Monthly Dividend31-JAN-121098.5376
3214Mirae Asset Ultra Short Term Bond Fund - Regular - Quarterly Dividend15-FEB-101001.0701
3215Mirae Asset Ultra Short Term Bond Fund - Regular - Weekly Dividend31-JAN-121095.8317
3216Mirae Asset Ultra Short Term Bond Fund - Super Institutional - Daily Dividend16-OCT-08947.9742
3217Mirae Asset Ultra Short Term Bond Fund - Super Institutional - Growth16-OCT-08998.3311
3218Mirae Asset Ultra Short Term Bond Fund - Super Institutional - Monthly Dividend23-SEP-081008.1227
3219Mirae Asset Ultra Short Term Bond Fund - Super Institutional - Weekly Dividend16-OCT-08948.0220
3220Morgan Stanley A C E Fund - Dividend31-JAN-1212.3640
3221Morgan Stanley A C E Fund - Growth31-JAN-1213.1330
3222Morgan Stanley Active Bond Fund - Institutional Plus - Growth31-JAN-1210.0000
3223Morgan Stanley Active Bond Fund - Institutional Plus - Quarterly Dividend31-JAN-1210.0000
3224Morgan Stanley Active Bond Fund - Regular - Growth31-JAN-1210.8733
3225Morgan Stanley Active Bond Fund - Regular - Quarterly Dividend31-JAN-1210.8733
3226Morgan Stanley Growth Fund31-JAN-1253.5320
3227Morgan Stanley Growth Fund - Dividend31-JAN-1216.3420
3228Morgan Stanley Liquid Fund - Daily Dividend31-JAN-121000.4971
3229Morgan Stanley Liquid Fund - Growth31-JAN-121036.9617
3230Morgan Stanley Liquid Fund - Monthly Dividend31-JAN-121002.0239
3231Morgan Stanley Liquid Fund - Weekly Dividend31-JAN-121001.7432
3232Morgan Stanley Short Term Bond Fund - Institutional Plus - Growth31-JAN-1211.9563
3233Morgan Stanley Short Term Bond Fund - Institutional Plus - Monthly Dividend31-JAN-1210.0722
3234Morgan Stanley Short Term Bond Fund - Institutional Plus - Weekly Dividend31-JAN-1210.0927
3235Morgan Stanley Short Term Bond Fund - Regular - Growth31-JAN-1211.8542
3236Morgan Stanley Short Term Bond Fund - Regular - Monthly Dividend31-JAN-1210.0864
3237Morgan Stanley Short Term Bond Fund - Regular - Weekly Dividend31-JAN-1210.0929
3238Motilal Oswal MOSt 10 Year Gilt Fund - Dividend31-JAN-1210.2312
3239Motilal Oswal MOSt 10 Year Gilt Fund - Growth31-JAN-1210.2312
3240Motilal Oswal MOSt Shares M50 ETF - Growth31-JAN-1270.6829
3241Motilal Oswal MOSt Shares Midcap 100 ETF - Growth31-JAN-12 7.2009
3242Motilal Oswal MOSt Shares NASDAQ - 100 ETF - Growth31-JAN-12122.4479
3243Peerless Equity Fund - Dividend31-JAN-12 9.9220
3244Peerless Equity Fund - Growth31-JAN-12 9.9218
3245Peerless Income Plus Fund - Growth31-JAN-1210.8838
3246Peerless Income Plus Fund - Monthly Dividend31-JAN-1210.2638
3247Peerless Income Plus Fund - Quarterly Dividend31-JAN-1210.3313
3248Peerless Liquid Fund - Institutional - Daily Dividend31-JAN-1210.0015
3249Peerless Liquid Fund - Institutional - Growth31-JAN-1211.4667
3250Peerless Liquid Fund - Institutional - Monthly Dividend31-MAR-1010.0000
3251Peerless Liquid Fund - Institutional - Weekly Dividend05-MAY-1010.0020
3252Peerless Liquid Fund - Retail - Daily Dividend31-JAN-1210.0015
3253Peerless Liquid Fund - Retail - Growth31-JAN-1211.3599
3254Peerless Liquid Fund - Retail - Monthly Dividend31-JAN-1210.0088
3255Peerless Liquid Fund - Retail - Weekly Dividend31-JAN-1210.0025
3256Peerless Liquid Fund - Super Institutional - Daily Dividend31-JAN-1210.0015
3257Peerless Liquid Fund - Super Institutional - Growth31-JAN-1211.5310
3258Peerless Liquid Fund - Super Institutional - Monthly Dividend31-JAN-1210.0106
3259Peerless Liquid Fund - Super Institutional - Weekly Dividend31-JAN-1210.0041
3260Peerless MF Child Plan - Growth31-JAN-1211.0970
3261Peerless MF Child Plan - Monthly Dividend31-JAN-1211.0974
3262Peerless MF Child Plan - Quarterly Dividend31-JAN-1211.0965
3263Peerless Short Term Fund - Growth31-JAN-1211.6793
3264Peerless Short Term Fund - Monthly Dividend31-JAN-1210.8657
3265Peerless Short Term Fund - Quarterly Dividend31-JAN-1211.5259
3266Peerless Ultra Short Term Fund - Institutional - Daily Dividend30-DEC-1010.0007
3267Peerless Ultra Short Term Fund - Institutional - Growth31-DEC-1010.4950
3268Peerless Ultra Short Term Fund - Institutional - Monthly Dividend31-DEC-1010.0658
3269Peerless Ultra Short Term Fund - Institutional - Weekly Dividend31-MAR-1010.0000
3270Peerless Ultra Short Term Fund - Retail - Daily Dividend31-JAN-1210.0053
3271Peerless Ultra Short Term Fund - Retail - Growth31-JAN-1211.4954
3272Peerless Ultra Short Term Fund - Retail - Monthly Dividend31-JAN-1210.0551
3273Peerless Ultra Short Term Fund - Retail - Weekly Dividend31-JAN-1210.0072
3274Peerless Ultra Short Term Fund - Super Institutional - Daily Dividend31-JAN-1210.0054
3275Peerless Ultra Short Term Fund - Super Institutional - Growth31-JAN-1211.5845
3276Peerless Ultra Short Term Fund - Super Institutional - Monthly Dividend31-JAN-1210.0708
3277Peerless Ultra Short Term Fund - Super Institutional - Weekly Dividend31-JAN-1210.0070
3278Pramerica Credit Opportunities Fund - Dividend31-JAN-121029.3871
3279Pramerica Credit Opportunities Fund - Growth31-JAN-121029.7761
3280Pramerica Dynamic Bond Fund - Growth31-JAN-121005.7407
3281Pramerica Dynamic Bond Fund - Monthly Dividend31-JAN-121001.2912
3282Pramerica Dynamic Bond Fund - Quarterly Dividend31-JAN-121005.7407
3283Pramerica Dynamic Fund - Dividend31-JAN-12 9.0300
3284Pramerica Dynamic Fund - Growth31-JAN-12 9.0300
3285Pramerica Dynamic Monthly Income Fund - Growth31-JAN-1210.4611
3286Pramerica Dynamic Monthly Income Fund - Monthly Dividend31-JAN-1210.2517
3287Pramerica Equity Fund - Dividend31-JAN-12 8.3100
3288Pramerica Equity Fund - Growth31-JAN-12 8.3100
3289Pramerica Fixed Duration Fund - Series 1 - Dividend11-MAR-111000.0000
3290Pramerica Fixed Duration Fund - Series 1 - Growth31-JAN-121089.2131
3291Pramerica Liquid Fund - Daily Dividend31-JAN-121000.0950
3292Pramerica Liquid Fund - Fortnightly Dividend31-JAN-121001.3822
3293Pramerica Liquid Fund - Growth31-JAN-121126.3139
3294Pramerica Liquid Fund - Monthly Dividend31-JAN-121001.3403
3295Pramerica Liquid Fund - Weekly Dividend31-JAN-121000.0185
3296Pramerica Short Term Income Fund - Fortnightly Dividend31-JAN-121003.4182
3297Pramerica Short Term Income Fund - Growth31-JAN-121106.0467
3298Pramerica Short Term Income Fund - Monthly Dividend31-JAN-121003.2772
3299Pramerica Short Term Income Fund - Quarterly Dividend31-JAN-121014.7965
3300Pramerica Short Term Income Fund - Weekly Dividend31-JAN-121003.0000
3301Pramerica Treasury Advantage Fund - Daily Dividend31-JAN-121001.3000
3302Pramerica Treasury Advantage Fund - Fortnightly Dividend31-JAN-121000.8507
3303Pramerica Treasury Advantage Fund - Growth31-JAN-121064.2002
3304Pramerica Treasury Advantage Fund - Monthly Dividend31-JAN-121000.9230
3305Pramerica Treasury Advantage Fund - Weekly Dividend18-JAN-121000.0321
3306Pramerica Ultra Short Term Bond Fund - Daily Dividend31-JAN-121000.3500
3307Pramerica Ultra Short Term Bond Fund - Fortnightly Dividend31-JAN-121001.0667
3308Pramerica Ultra Short Term Bond Fund - Growth31-JAN-121125.4414
3309Pramerica Ultra Short Term Bond Fund - Monthly Dividend31-JAN-121001.0920
3310Pramerica Ultra Short Term Bond Fund - Weekly Dividend31-JAN-121000.0000
3311Principal Balanced Fund - Dividend31-JAN-1214.1400
3312Principal Balanced Fund - Growth31-JAN-1227.9900
3313Principal Cash Management Fund - Daily Dividend31-JAN-121000.0700
3314Principal Cash Management Fund - Growth31-JAN-121642.2108
3315Principal Cash Management Fund - Monthly Dividend31-JAN-121013.6550
3316Principal Cash Management Fund - Weekly Dividend31-JAN-121007.5714
3317Principal Debt Savings Fund - Monthly Income Plan - AEP Monthly31-JAN-1222.1977
3318Principal Debt Savings Fund - Monthly Income Plan - AEP Quarterly31-JAN-1222.1977
3319Principal Debt Savings Fund - Monthly Income Plan - Growth31-JAN-1222.1977
3320Principal Debt Savings Fund - Monthly Income Plan - Monthly Dividend31-JAN-1210.6310
3321Principal Debt Savings Fund - Monthly Income Plan - Quarterly Dividend31-JAN-1211.4744
3322Principal Debt Savings Fund - Retail Plan - AEP Monthly31-JAN-1218.7579
3323Principal Debt Savings Fund - Retail Plan - AEP Quarterly31-JAN-1218.7579
3324Principal Debt Savings Fund - Retail Plan - Growth31-JAN-1218.7579
3325Principal Debt Savings Fund - Retail Plan - Monthly Dividend31-JAN-1210.2662
3326Principal Debt Savings Fund - Retail Plan - Quarterly Dividend31-JAN-1210.8122
3327Principal Dividend Yield Fund - Dividend31-JAN-1215.2700
3328Principal Dividend Yield Fund - Growth31-JAN-1220.6900
3329Principal Emerging Bluechip Fund - Dividend31-JAN-1218.9500
3330Principal Emerging Bluechip Fund - Growth30-JAN-1224.3200
3331Principal Global Opportunities Fund - Annual Dividend31-JAN-1218.4632
3332Principal Global Opportunities Fund - Growth31-JAN-1218.4632
3333Principal Government Securities Fund - Annual Dividend31-JAN-1213.4948
3334Principal Government Securities Fund - Growth31-JAN-1221.3907
3335Principal Government Securities Fund - Quarterly Dividend31-JAN-1211.1860
3336Principal Growth Fund - Dividend31-JAN-1220.3800
3337Principal Growth Fund - Growth31-JAN-1244.9900
3338Principal Income Fund - Long Term Plan - Annual Dividend31-JAN-1211.5888
3339Principal Income Fund - Long Term Plan - Growth31-JAN-1218.1037
3340Principal Income Fund - Long Term Plan - Quarterly Dividend31-JAN-1212.3736
3341Principal Income Fund - Short Term Plan - Growth31-JAN-1218.5107
3342Principal Income Fund - Short Term Plan - Monthly Dividend31-JAN-1212.2333
3343Principal Index Fund - Dividend31-JAN-1220.9293
3344Principal Index Fund - Growth31-JAN-1235.6094
3345Principal Large Cap Fund - Dividend31-JAN-1217.5700
3346Principal Large Cap Fund - Growth31-JAN-1225.6600
3347Principal Money Manager Fund - Regular - Daily Dividend11-OCT-1010.0247
3348Principal Money Manager Fund - Regular - Growth11-OCT-1010.7793
3349Principal Money Manager Fund - Regular - Monthly Dividend11-OCT-1010.4476
3350Principal Money Manager Fund - Regular - Weekly Dividend09-SEP-1110.1187
3351Principal Near Term Fund - Conservative Plan - Daily Dividend31-JAN-121001.2300
3352Principal Near Term Fund - Conservative Plan - Growth31-JAN-121672.4105
3353Principal Near Term Fund - Conservative Plan - Monthly Dividend31-JAN-121100.9171
3354Principal Near Term Fund - Conservative Plan - Weekly Dividend31-JAN-121001.9200
3355Principal Near Term Fund - Moderate Plan - Growth31-JAN-121648.9046
3356Principal Near Term Fund - Moderate Plan - Monthly Dividend31-JAN-121196.0749
3357Principal PNB FMP - Series 2 - Dividend31-JAN-1210.8006
3358Principal PNB FMP - Series 2 - Growth31-JAN-1210.8006
3359Principal PNB FMP - Series I - Dividend31-JAN-1210.8527
3360Principal PNB FMP - Series I - Growth31-JAN-1210.8527
3361Principal Personal Tax Saver31-JAN-1283.9200
3362Principal Retail Equity Savings Fund - Dividend31-JAN-12 8.9300
3363Principal Retail Equity Savings Fund - Growth31-JAN-1277.7700
3364Principal Retail Money Manager Fund - Daily Dividend31-JAN-121005.4300
3365Principal Retail Money Manager Fund - Growth31-JAN-121177.5382
3366Principal Retail Money Manager Fund - Monthly Dividend15-FEB-1110.4879
3367Principal Retail Money Manager Fund - Weekly Dividend31-JAN-121013.2835
3368Principal Services Industries Fund - Dividend31-JAN-1211.1400
3369Principal Services Industries Fund - Growth31-JAN-1212.5600
3370Principal Smart Equity Fund - Dividend31-JAN-12 9.6900
3371Principal Smart Equity Fund - Growth31-JAN-12 9.6900
3372Principal Tax Savings Fund31-JAN-1265.8000
3373Principal Ultra Short Term Fund - Regular - Growth31-JAN-121357.2328
3374Principal Ultra Short Term Fund - Regular - Monthly Dividend31-JAN-121087.3841
3375Quantum Equity Fund Of Fund - Dividend31-JAN-1212.8410
3376Quantum Equity Fund Of Fund - Growth31-JAN-1212.8400
3377Quantum Gold Fund - Growth31-JAN-121359.6111
3378Quantum Gold Savings Fund - Growth31-JAN-1212.6979
3379Quantum Index Fund - Growth30-JAN-12517.8205
3380Quantum Liquid Fund - Monthly Dividend31-JAN-1210.0157
3381Quantum Liquid Fund - Daily Dividend31-JAN-1210.0000
3382Quantum Liquid Fund - Growth31-JAN-1215.0059
3383Quantum Long Term Equity Fund - Dividend31-JAN-1221.4500
3384Quantum Long Term Equity Fund - Growth31-JAN-1221.2700
3385Quantum Tax Saving Fund - Dividend31-JAN-1221.0200
3386Quantum Tax Saving Fund - Growth31-JAN-1221.0320
3387Reliance Arbitrage Advantage Fund - Dividend31-JAN-1211.1084
3388Reliance Arbitrage Advantage Fund - Growth31-JAN-1211.1084
3389Reliance Banking Exchange Traded Fund - Dividend31-JAN-121027.2331
3390Reliance Banking Fund - Bonus31-JAN-1291.9375
3391Reliance Banking Fund - Dividend31-JAN-1234.3657
3392Reliance Banking Fund - Growth31-JAN-1291.9387
3393Reliance Banking Fund - Institutional Plan - Bonus06-APR-1010.0000
3394Reliance Banking Fund - Institutional Plan - Dividend27-JAN-1211.7729
3395Reliance Banking Fund - Institutional Plan - Growth31-JAN-12 8.2709
3396Reliance Diversified Power Sector Fund - Bonus Option31-JAN-1254.5912
3397Reliance Diversified Power Sector Fund - Dividend31-JAN-1230.9938
3398Reliance Diversified Power Sector Fund - Growth Option31-JAN-1254.5809
3399Reliance Diversified Power Sector Fund - Institutional - Bonus06-APR-1010.0000
3400Reliance Diversified Power Sector Fund - Institutional - Dividend06-AUG-1078.6263
3401Reliance Diversified Power Sector Fund - Institutional - Growth14-FEB-1168.3532
3402Reliance Dual Advantage Fixed Tenure Fund - Plan A - Dividend31-JAN-1210.3765
3403Reliance Dual Advantage Fixed Tenure Fund - Plan A - Growth31-JAN-1210.9725
3404Reliance Dual Advantage Fixed Tenure Fund - Plan B - Dividend31-JAN-1210.3558
3405Reliance Dual Advantage Fixed Tenure Fund - Plan B - Growth31-JAN-1210.3558
3406Reliance Dual Advantage Fixed Tenure Fund - Plan I - Dividend31-JAN-1210.4228
3407Reliance Dual Advantage Fixed Tenure Fund - Plan I - Growth31-JAN-1210.5556
3408Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan I - Dividend31-JAN-1210.3896
3409Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan I - Growth31-JAN-1210.3896
3410Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan J - Dividend31-JAN-1210.4065
3411Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan J - Growth31-JAN-1210.4065
3412Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan K - Dividend31-JAN-1210.4907
3413Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan K - Growth31-JAN-1210.4907
3414Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan L - Dividend31-JAN-1210.2977
3415Reliance Dual Advantage Fixed Tenure Fund - Series 1 - Plan L - Growth31-JAN-1210.2977
3416Reliance Dynamic Bond Fund - Dividend31-JAN-1213.9533
3417Reliance Dynamic Bond Fund - Growth31-JAN-1213.9517
3418Reliance Equity Fund - Bonus Option31-JAN-1212.4610
3419Reliance Equity Fund - Dividend Option31-JAN-1212.4609
3420Reliance Equity Fund - Growth Option31-JAN-1212.4611
3421Reliance Equity Fund - Institutional - Bonus Option06-APR-1010.0000
3422Reliance Equity Fund - Institutional - Dividend06-APR-1010.0000
3423Reliance Equity Fund - Institutional - Growth06-APR-1010.0000
3424Reliance Equity Linked Saving Fund - Series 1 - Dividend31-JAN-1213.1876
3425Reliance Equity Linked Saving Fund - Series 1 - Growth31-JAN-1213.1876
3426Reliance Equity Opportunities Fund - Bonus31-JAN-1234.0545
3427Reliance Equity Opportunities Fund - Dividend31-JAN-1222.0178
3428Reliance Equity Opportunities Fund - Growth31-JAN-1234.0546
3429Reliance Equity Opportunities Fund - Institutional - Bonus06-APR-1010.0000
3430Reliance Equity Opportunities Fund - Institutional - Dividend31-JAN-1232.1573
3431Reliance Equity Opportunities Fund - Institutional - Growth31-JAN-12 8.9712
3432Reliance Fixed Horizon Fund - XIV - Series 10 - Dividend31-JAN-1210.6753
3433Reliance Fixed Horizon Fund - XIV - Series 10 - Growth31-JAN-1211.2542
3434Reliance Fixed Horizon Fund - XIV - Series 7 - Dividend31-JAN-1210.6621
3435Reliance Fixed Horizon Fund - XIV - Series 7 - Growth31-JAN-1211.4490
3436Reliance Fixed Horizon Fund - XIV - Series 9 - Dividend31-JAN-1210.6740
3437Reliance Fixed Horizon Fund - XIV - Series 9 - Growth31-JAN-1211.3242
3438Reliance Fixed Horizon Fund - XIX - Series 1 - Dividend31-JAN-1210.6846
3439Reliance Fixed Horizon Fund - XIX - Series 1 - Growth31-JAN-1210.9213
3440Reliance Fixed Horizon Fund - XIX - Series 10 - Dividend31-JAN-1210.6957
3441Reliance Fixed Horizon Fund - XIX - Series 10 - Growth31-JAN-1210.8403
3442Reliance Fixed Horizon Fund - XIX - Series 11 - Dividend31-JAN-1210.6830
3443Reliance Fixed Horizon Fund - XIX - Series 11 - Growth31-JAN-1210.8564
3444Reliance Fixed Horizon Fund - XIX - Series 12 - Dividend31-JAN-1210.6762
3445Reliance Fixed Horizon Fund - XIX - Series 12 - Growth31-JAN-1210.7339
3446Reliance Fixed Horizon Fund - XIX - Series 13 - Dividend31-JAN-1210.6983
3447Reliance Fixed Horizon Fund - XIX - Series 13 - Growth31-JAN-1210.8655
3448Reliance Fixed Horizon Fund - XIX - Series 19 - Dividend31-JAN-1210.7320
3449Reliance Fixed Horizon Fund - XIX - Series 19 - Growth31-JAN-1210.7320
3450Reliance Fixed Horizon Fund - XIX - Series 2 - Dividend31-JAN-1210.6638
3451Reliance Fixed Horizon Fund - XIX - Series 2 - Growth31-JAN-1210.8704
3452Reliance Fixed Horizon Fund - XIX - Series 20 - Dividend31-JAN-1210.6915
3453Reliance Fixed Horizon Fund - XIX - Series 20 - Growth31-JAN-1210.6915
3454Reliance Fixed Horizon Fund - XIX - Series 21 - Dividend31-JAN-1210.5742
3455Reliance Fixed Horizon Fund - XIX - Series 21 - Growth31-JAN-1210.5742
3456Reliance Fixed Horizon Fund - XIX - Series 22 - Dividend31-JAN-1210.5364
3457Reliance Fixed Horizon Fund - XIX - Series 22 - Growth31-JAN-1210.5364
3458Reliance Fixed Horizon Fund - XIX - Series 4 - Dividend31-JAN-1210.1018
3459Reliance Fixed Horizon Fund - XIX - Series 4 - Growth31-JAN-1210.7067
3460Reliance Fixed Horizon Fund - XIX - Series 5 - Dividend31-JAN-1210.6526
3461Reliance Fixed Horizon Fund - XIX - Series 5 - Growth31-JAN-1210.6526
3462Reliance Fixed Horizon Fund - XIX - Series 6 - Dividend31-JAN-1210.5708
3463Reliance Fixed Horizon Fund - XIX - Series 6 - Growth31-JAN-1210.5708
3464Reliance Fixed Horizon Fund - XIX - Series 7 - Dividend31-JAN-1210.6946
3465Reliance Fixed Horizon Fund - XIX - Series 7 - Growth31-JAN-1210.8939
3466Reliance Fixed Horizon Fund - XIX - Series 8 - Dividend31-JAN-1210.6846
3467Reliance Fixed Horizon Fund - XIX - Series 8 - Growth31-JAN-1210.8952
3468Reliance Fixed Horizon Fund - XIX - Series 9 - Dividend31-JAN-1210.6806
3469Reliance Fixed Horizon Fund - XIX - Series 9 - Growth31-JAN-1210.8625
3470Reliance Fixed Horizon Fund - XVI - Series 7 - Dividend31-JAN-1210.6440
3471Reliance Fixed Horizon Fund - XVI - Series 7 - Growth31-JAN-1211.1132
3472Reliance Fixed Horizon Fund - XVI - Series 8 - Dividend31-JAN-1210.0000
3473Reliance Fixed Horizon Fund - XVI - Series 8 - Growth31-JAN-1211.0537
3474Reliance Fixed Horizon Fund - XVII - Series 13 - Dividend31-JAN-1210.6765
3475Reliance Fixed Horizon Fund - XVII - Series 13 - Growth31-JAN-1210.9485
3476Reliance Fixed Horizon Fund - XVII - Series 7 - Dividend31-JAN-1210.6573
3477Reliance Fixed Horizon Fund - XVII - Series 7 - Growth31-JAN-1210.9342
3478Reliance Fixed Horizon Fund - XX - Series 11 - Dividend31-JAN-1210.3707
3479Reliance Fixed Horizon Fund - XX - Series 11 - Growth31-JAN-1210.3707
3480Reliance Fixed Horizon Fund - XX - Series 12 - Dividend31-JAN-1210.3017
3481Reliance Fixed Horizon Fund - XX - Series 12 - Growth31-JAN-1210.3017
3482Reliance Fixed Horizon Fund - XX - Series 13 - Dividend31-JAN-1210.0685
3483Reliance Fixed Horizon Fund - XX - Series 13 - Growth31-JAN-1210.3067
3484Reliance Fixed Horizon Fund - XX - Series 14 - Dividend30-JAN-1210.2307
3485Reliance Fixed Horizon Fund - XX - Series 14 - Growth31-JAN-1210.2302
3486Reliance Fixed Horizon Fund - XX - Series 15 - Dividend31-JAN-1210.2543
3487Reliance Fixed Horizon Fund - XX - Series 15 - Growth31-JAN-1210.2543
3488Reliance Fixed Horizon Fund - XX - Series 19 - Dividend31-JAN-1210.6179
3489Reliance Fixed Horizon Fund - XX - Series 19 - Growth31-JAN-1210.6179
3490Reliance Fixed Horizon Fund - XX - Series 20 - Dividend31-JAN-1210.5608
3491Reliance Fixed Horizon Fund - XX - Series 20 - Growth31-JAN-1210.5608
3492Reliance Fixed Horizon Fund - XX - Series 21 - Dividend31-JAN-1210.5679
3493Reliance Fixed Horizon Fund - XX - Series 21 - Growth31-JAN-1210.5679
3494Reliance Fixed Horizon Fund - XX - Series 22 - Dividend31-JAN-1210.5186
3495Reliance Fixed Horizon Fund - XX - Series 22 - Growth31-JAN-1210.5186
3496Reliance Fixed Horizon Fund - XX - Series 23 - Dividend31-JAN-1210.4449
3497Reliance Fixed Horizon Fund - XX - Series 23 - Growth31-JAN-1210.4449
3498Reliance Fixed Horizon Fund - XX - Series 24 - Dividend31-JAN-1210.4083
3499Reliance Fixed Horizon Fund - XX - Series 24 - Growth31-JAN-1210.4083
3500Reliance Fixed Horizon Fund - XX - Series 31 - Dividend31-JAN-1210.3761
3501Reliance Fixed Horizon Fund - XX - Series 31 - Growth31-JAN-1210.3761
3502Reliance Fixed Horizon Fund - XX - Series 32 - Dividend31-JAN-1210.3376
3503Reliance Fixed Horizon Fund - XX - Series 32 - Growth31-JAN-1210.3376
3504Reliance Fixed Horizon Fund - XX - Series 33 - Dividend30-JAN-1210.2598
3505Reliance Fixed Horizon Fund - XX - Series 33 - Growth30-JAN-1210.2598
3506Reliance Fixed Horizon Fund - XX - Series 4 - Dividend31-JAN-1210.4015
3507Reliance Fixed Horizon Fund - XX - Series 4 - Growth31-JAN-1210.4015
3508Reliance Fixed Horizon Fund - XX - Series 5 - Dividend31-JAN-1210.3337
3509Reliance Fixed Horizon Fund - XX - Series 5 - Growth31-JAN-1210.3337
3510Reliance Fixed Horizon Fund - XX - Series 6 - Dividend31-JAN-1210.3088
3511Reliance Fixed Horizon Fund - XX - Series 6 - Growth31-JAN-1210.3088
3512Reliance Fixed Horizon Fund - XX - Series 8 - Dividend31-JAN-1210.2737
3513Reliance Fixed Horizon Fund - XX - Series 8 - Growth31-JAN-1210.2737
3514Reliance Fixed Horizon Fund - XXI - Series 1 - Dividend31-JAN-1210.1733
3515Reliance Fixed Horizon Fund - XXI - Series 1 - Growth31-JAN-1210.1733
3516Reliance Fixed Horizon Fund - XXI - Series 13 - Dividend31-JAN-1210.1816
3517Reliance Fixed Horizon Fund - XXI - Series 13 - Growth31-JAN-1210.1816
3518Reliance Fixed Horizon Fund - XXI - Series 14 - Dividend31-JAN-1210.1533
3519Reliance Fixed Horizon Fund - XXI - Series 14 - Growth31-JAN-1210.1533
3520Reliance Fixed Horizon Fund - XXI - Series 15 - Dividend31-JAN-1210.1056
3521Reliance Fixed Horizon Fund - XXI - Series 15 - Growth31-JAN-1210.1056
3522Reliance Fixed Horizon Fund - XXI - Series 16 - Dividend31-JAN-1210.1119
3523Reliance Fixed Horizon Fund - XXI - Series 16 - Growth31-JAN-1210.1119
3524Reliance Fixed Horizon Fund - XXI - Series 17 - Dividend31-JAN-1210.0341
3525Reliance Fixed Horizon Fund - XXI - Series 17 - Growth31-JAN-1210.0341
3526Reliance Fixed Horizon Fund - XXI - Series 19 - Dividend31-JAN-1210.1889
3527Reliance Fixed Horizon Fund - XXI - Series 19 - Growth31-JAN-1210.1889
3528Reliance Fixed Horizon Fund - XXI - Series 2 - Dividend31-JAN-1210.0807
3529Reliance Fixed Horizon Fund - XXI - Series 2 - Growth31-JAN-1210.0807
3530Reliance Fixed Horizon Fund - XXI - Series 20 - Dividend31-JAN-1210.1272
3531Reliance Fixed Horizon Fund - XXI - Series 20 - Growth31-JAN-1210.1272
3532Reliance Fixed Horizon Fund - XXI - Series 21 - Dividend31-JAN-1210.0903
3533Reliance Fixed Horizon Fund - XXI - Series 21 - Growth31-JAN-1210.0903
3534Reliance Fixed Horizon Fund - XXI - Series 25 - Dividend31-JAN-1210.2048
3535Reliance Fixed Horizon Fund - XXI - Series 25 - Growth31-JAN-1210.2048
3536Reliance Fixed Horizon Fund - XXI - Series 29 - Dividend31-JAN-1210.1445
3537Reliance Fixed Horizon Fund - XXI - Series 29 - Growth31-JAN-1210.1445
3538Reliance Fixed Horizon Fund - XXI - Series 3 - Dividend31-JAN-1210.0939
3539Reliance Fixed Horizon Fund - XXI - Series 3 - Growth31-JAN-1210.0939
3540Reliance Fixed Horizon Fund - XXI - Series 4 - Dividend31-JAN-1210.0375
3541Reliance Fixed Horizon Fund - XXI - Series 4 - Growth31-JAN-1210.0375
3542Reliance Fixed Horizon Fund - XXI - Series 5 - Dividend31-JAN-1210.0298
3543Reliance Fixed Horizon Fund - XXI - Series 5 - Growth31-JAN-1210.0298
3544Reliance Floating Rate Fund - Short Term Plan - Daily Dividend31-JAN-1210.0665
3545Reliance Floating Rate Fund - Short Term Plan - Growth31-JAN-1216.6391
3546Reliance Floating Rate Fund - Short Term Plan - Monthly Dividend31-JAN-1210.1606
3547Reliance Floating Rate Fund - Short Term Plan - Quarterly Dividend31-JAN-1210.1506
3548Reliance Floating Rate Fund - Short Term Plan - Weekly Dividend31-JAN-1210.0814
3549Reliance Gilt Securities Fund - Institutional - Dividend16-MAR-1110.0758
3550Reliance Gilt Securities Fund - Institutional - Growth31-JAN-1212.9975
3551Reliance Gilt Securities Fund - Institutional - PF Plan (Automatic Annual Reinvestment)06-APR-1010.0000
3552Reliance Gilt Securities Fund - Institutional - PF Plan (Automatic Capital Appreciation Payout)31-JAN-1212.9975
3553Reliance Gilt Securities Fund - Institutional - PF Plan (Defined Maturity Debt)06-APR-1010.0000
3554Reliance Gilt Securities Fund - Retail - Dividend31-JAN-1210.0706
3555Reliance Gilt Securities Fund - Retail - Growth31-JAN-1212.9627
3556Reliance Gilt Securities Fund - Retail - PF Plan (Automatic Annual Reinvestment)31-JAN-1210.8656
3557Reliance Gilt Securities Fund - Retail - PF Plan (Automatic Capital Appreciation Payout)31-JAN-1212.9627
3558Reliance Gilt Securities Fund - Retail - PF Plan (Defined Maturity Debt)31-JAN-1212.9627
3559Reliance Gold Exchange Traded Fund - Dividend31-JAN-122660.6477
3560Reliance Gold Savings Fund - Dividend31-JAN-1213.4036
3561Reliance Gold Savings Fund - Growth31-JAN-1213.4037
3562Reliance Growth Fund - Institutional - Bonus06-APR-1010.0000
3563Reliance Growth Fund - Institutional - Dividend31-JAN-12401.9753
3564Reliance Growth Fund - Institutional - Growth31-JAN-12419.3522
3565Reliance Growth Fund-Dividend31-JAN-1247.1739
3566Reliance Growth Fund-Growth31-JAN-12415.2045
3567Reliance Growth Fund-Growth - Bonus Option31-JAN-1268.8578
3568Reliance Income Fund - Growth - Bonus Option31-JAN-1216.3250
3569Reliance Income Fund -Annual Dividend31-JAN-1213.1744
3570Reliance Income Fund -Half Yearly Dividend31-JAN-1212.5118
3571Reliance Income Fund Growth31-JAN-1234.6242
3572Reliance Income Fund-Monthly Dividend Plan31-JAN-1210.2785
3573Reliance Income Fund-Quarterly Dividend Plan31-JAN-1213.6583
3574Reliance Index Fund - Nifty Plan - Annual Dividend31-JAN-12 8.5244
3575Reliance Index Fund - Nifty Plan - Bonus31-JAN-12 8.5249
3576Reliance Index Fund - Nifty Plan - Growth31-JAN-12 8.5243
3577Reliance Index Fund - Nifty Plan - Half Yearly Dividend31-JAN-12 8.5243
3578Reliance Index Fund - Nifty Plan - Quarterly Dividend31-JAN-12 8.5244
3579Reliance Index Fund - Sensex Plan - Annual Dividend31-JAN-12 8.3291
3580Reliance Index Fund - Sensex Plan - Bonus31-JAN-12 8.3296
3581Reliance Index Fund - Sensex Plan - Growth31-JAN-12 8.3291
3582Reliance Index Fund - Sensex Plan - Half Yearly Dividend31-JAN-12 8.3291
3583Reliance Index Fund - Sensex Plan - Quarterly Dividend31-JAN-12 8.3291
3584Reliance Infrastructure Fund - Institutional - Bonus06-APR-1010.0000
3585Reliance Infrastructure Fund - Institutional - Dividend16-NOV-11 6.7871
3586Reliance Infrastructure Fund - Institutional - Growth31-JAN-12 7.1737
3587Reliance Infrastructure Fund - Retail - Bonus31-JAN-12 7.1527
3588Reliance Infrastructure Fund - Retail - Dividend31-JAN-12 7.1526
3589Reliance Infrastructure Fund - Retail - Growth31-JAN-12 7.1526
3590Reliance Interval Fund - Annual Interval - Series - I - Institutional - Dividend31-JAN-1210.6675
3591Reliance Interval Fund - Annual Interval - Series - I - Institutional - Growth31-JAN-1210.6675
3592Reliance Interval Fund - Annual Interval - Series - I - Retail - Dividend31-JAN-1210.6636
3593Reliance Interval Fund - Annual Interval - Series - I - Retail - Growth31-JAN-1214.4510
3594Reliance Interval Fund - Monthly Interval - Series - I - Institutional - Dividend31-JAN-1210.0440
3595Reliance Interval Fund - Monthly Interval - Series - I - Institutional - Growth31-JAN-1214.3209
3596Reliance Interval Fund - Monthly Interval - Series - I - Retail - Dividend31-JAN-1210.0432
3597Reliance Interval Fund - Monthly Interval - Series - I - Retail - Growth31-JAN-1214.2694
3598Reliance Interval Fund - Monthly Interval - Series - II - Institutional - Dividend31-JAN-1210.0041
3599Reliance Interval Fund - Monthly Interval - Series - II - Institutional - Growth31-JAN-1214.3240
3600Reliance Interval Fund - Monthly Interval - Series - II - Retail - Dividend31-JAN-1210.0041
3601Reliance Interval Fund - Monthly Interval - Series - II - Retail - Growth31-JAN-1214.2722
3602Reliance Interval Fund - Quarterly Interval - Series - I - Institutional - Dividend31-JAN-1210.0836
3603Reliance Interval Fund - Quarterly Interval - Series - I - Institutional - Growth31-JAN-1211.5408
3604Reliance Interval Fund - Quarterly Interval - Series - I - Retail - Dividend31-JAN-1210.0803
3605Reliance Interval Fund - Quarterly Interval - Series - I - Retail - Growth31-JAN-1214.5153
3606Reliance Interval Fund - Quarterly Interval - Series - II - Institutional - Dividend31-JAN-1210.2526
3607Reliance Interval Fund - Quarterly Interval - Series - II - Institutional - Growth31-JAN-1214.4994
3608Reliance Interval Fund - Quarterly Interval - Series - II - Retail - Dividend31-JAN-1210.2436
3609Reliance Interval Fund - Quarterly Interval - Series - II - Retail - Growth31-JAN-1214.3752
3610Reliance Interval Fund - Quarterly Interval - Series - III - Institutional - Dividend31-JAN-1210.1449
3611Reliance Interval Fund - Quarterly Interval - Series - III - Institutional - Growth31-JAN-1214.3652
3612Reliance Interval Fund - Quarterly Interval - Series - III - Retail - Dividend31-JAN-1210.1388
3613Reliance Interval Fund - Quarterly Interval - Series - III - Retail - Growth31-JAN-1214.3077
3614Reliance Liquid Fund - Cash Plan - Bonus26-AUG-0814.1641
3615Reliance Liquid Fund - Cash Plan - Daily Dividend31-JAN-1211.1415
3616Reliance Liquid Fund - Cash Plan - Growth31-JAN-1217.1023
3617Reliance Liquid Fund - Cash Plan - Monthly Dividend31-JAN-1210.0432
3618Reliance Liquid Fund - Cash Plan - Quarterly Dividend31-JAN-1210.1402
3619Reliance Liquid Fund - Cash Plan - Weekly31-JAN-1210.9276
3620Reliance Liquid Fund - Treasury Plan - Institutional Option - Daily Dividend31-JAN-1215.2874
3621Reliance Liquid Fund - Treasury Plan - Institutional Option - Growth31-JAN-1225.7028
3622Reliance Liquid Fund - Treasury Plan - Institutional Option - Monthly Dividend31-JAN-1221.7797
3623Reliance Liquid Fund - Treasury Plan - Institutional Option - Quarterly Dividend06-APR-1010.0000
3624Reliance Liquid Fund - Treasury Plan - Institutional Option - Weekly Dividend31-JAN-1215.3191
3625Reliance Liquid Fund - Treasury Plan - Retail - Daily Dividend31-JAN-1215.2428
3626Reliance Liquid Fund - Treasury Plan - Retail - Growth31-JAN-1225.1428
3627Reliance Liquid Fund - Treasury Plan - Retail - Monthly Dividend31-JAN-1213.3290
3628Reliance Liquid Fund - Treasury Plan - Retail - Quarterly Dividend31-JAN-1212.2845
3629Reliance Liquid Fund - Treasury Plan - Retail - Weekly Dividend31-JAN-1210.3518
3630Reliance Liquidity Fund - Bonus06-APR-1010.0000
3631Reliance Liquidity Fund - Daily Dividend31-JAN-1210.0051
3632Reliance Liquidity Fund - Growth31-JAN-1215.9036
3633Reliance Liquidity Fund - Monthly Dividend Plan29-NOV-1110.0175
3634Reliance Liquidity Fund - Quarterly Dividend06-APR-1010.0000
3635Reliance Liquidity Fund - Weekly Dividend15-JAN-1210.0087
3636Reliance Long Term Equity Fund - Dividend Option31-JAN-1212.1634
3637Reliance Long Term Equity Fund - Growth Option31-JAN-1213.5535
3638Reliance Media and Entertainment Fund - Bonus31-JAN-1227.1949
3639Reliance Media and Entertainment Fund - Dividend31-JAN-1216.8242
3640Reliance Media and Entertainment Fund - Growth31-JAN-1227.1951
3641Reliance Medium Term Fund - Daily Dividend31-JAN-1217.0959
3642Reliance Medium Term Fund - Growth31-JAN-1221.8881
3643Reliance Medium Term Fund - Growth - Bonus Option31-JAN-1215.6322
3644Reliance Medium Term Fund - Monthly Dividend31-JAN-1210.4166
3645Reliance Medium Term Fund - Weekly Dividend31-JAN-1217.0959
3646Reliance Medium Term Fund-Quarterly27-JAN-1210.8533
3647Reliance Money Manager Fund - Institutional - Bonus Option06-APR-101000.0000
3648Reliance Money Manager Fund - Institutional - Daily Dividend Option31-JAN-121001.3715
3649Reliance Money Manager Fund - Institutional - Growth Option31-JAN-121442.3996
3650Reliance Money Manager Fund - Institutional - Monthly Dividend Option31-JAN-121010.0469
3651Reliance Money Manager Fund - Institutional - Quarterly Dividend Option06-APR-101000.0000
3652Reliance Money Manager Fund - Institutional - Weekly Dividend Option31-JAN-121001.8698
3653Reliance Money Manager Fund - Retail - Bonus Option31-JAN-121413.4258
3654Reliance Money Manager Fund - Retail - Daily Dividend Option31-JAN-121001.1218
3655Reliance Money Manager Fund - Retail - Growth Option31-JAN-121422.7612
3656Reliance Money Manager Fund - Retail - Monthly Dividend Option31-JAN-121011.0691
3657Reliance Money Manager Fund - Retail - Quarterly Dividend Option31-JAN-121032.9762
3658Reliance Money Manager Fund - Retail - Weekly Dividend Option31-JAN-121002.9398
3659Reliance Monthly Income Plan - Growth31-JAN-1222.6779
3660Reliance Monthly Income Plan - Monthly Dividend31-JAN-1210.6885
3661Reliance Monthly Income Plan - Quarterly Dividend31-JAN-1211.3941
3662Reliance NRI Equity Fund - Bonus31-JAN-1236.0766
3663Reliance NRI Equity Fund - Dividend31-JAN-1219.1323
3664Reliance NRI Equity Fund - Growth31-JAN-1236.0767
3665Reliance Natural Resources Fund - Bonus31-JAN-12 9.5539
3666Reliance Natural Resources Fund - Dividend31-JAN-12 9.5539
3667Reliance Natural Resources Fund - Growth31-JAN-12 9.5539
3668Reliance Natural Resources Fund - Institutional Plan - Bonus06-APR-1010.0000
3669Reliance Natural Resources Fund - Institutional Plan - Dividend06-APR-1010.0000
3670Reliance Natural Resources Fund - Institutional Plan - Growth06-APR-1010.0000
3671Reliance Pharma Fund - Bonus31-JAN-1255.0285
3672Reliance Pharma Fund - Dividend31-JAN-1238.2749
3673Reliance Pharma Fund - Growth31-JAN-1255.0284
3674Reliance Quant Plus Fund - Institutional - Bonus06-APR-1010.0000
3675Reliance Quant Plus Fund - Institutional - Dividend06-APR-1010.0000
3676Reliance Quant Plus Fund - Institutional - Growth25-APR-1110.9510
3677Reliance Quant Plus Fund - Retail - Bonus31-JAN-1212.6700
3678Reliance Quant Plus Fund - Retail - Dividend31-JAN-1210.3468
3679Reliance Quant Plus Fund - Retail - Growth31-JAN-1212.6700
3680Reliance Regular Savings Fund - Balanced Option - Dividend31-JAN-1212.6011
3681Reliance Regular Savings Fund - Balanced Option - Growth31-JAN-1220.7317
3682Reliance Regular Savings Fund - Debt Option - Institutional - Dividend31-JAN-1212.6092
3683Reliance Regular Savings Fund - Debt Option - Institutional - Growth31-JAN-1214.4765
3684Reliance Regular Savings Fund - Debt Option - Retail - Dividend31-JAN-1212.4960
3685Reliance Regular Savings Fund - Debt Option - Retail - Growth31-JAN-1214.2609
3686Reliance Regular Savings Fund - Equity Option - Dividend31-JAN-1218.7987
3687Reliance Regular Savings Fund - Equity Option - Growth31-JAN-1226.4863
3688Reliance Short Term Fund - Dividend31-JAN-1210.6802
3689Reliance Short Term Fund - Growth31-JAN-1219.6464
3690Reliance Short Term Fund - Quarterly Dividend31-JAN-1213.6263
3691Reliance Small Cap Fund - Bonus31-JAN-12 8.5827
3692Reliance Small Cap Fund - Dividend31-JAN-12 8.5827
3693Reliance Small Cap Fund - Growth31-JAN-12 8.5827
3694Reliance Tax Saver (ELSS) Fund - Dividend31-JAN-1213.7050
3695Reliance Tax Saver (ELSS) Fund - Growth31-JAN-1219.4827
3696Reliance Top 200 Fund - Institutional - Bonus Option31-JAN-1211.9686
3697Reliance Top 200 Fund - Institutional - Dividend31-JAN-1211.0368
3698Reliance Top 200 Fund - Institutional - Growth26-AUG-1012.9474
3699Reliance Top 200 Fund - Retail - Bonus Option31-JAN-1211.7375
3700Reliance Top 200 Fund - Retail - Dividend31-JAN-1210.8063
3701Reliance Top 200 Fund - Retail - Growth31-JAN-1211.7369
3702Reliance Vision Fund - Dividend31-JAN-1235.7547
3703Reliance Vision Fund - Growth31-JAN-12242.9548
3704Reliance Vision Fund - Growth - Bonus Option31-JAN-1240.8889
3705Reliance Vision Fund - Institutional - Bonus06-APR-1010.0000
3706Reliance Vision Fund - Institutional - Dividend31-JAN-12219.7856
3707Reliance Vision Fund - Institutional - Growth31-JAN-12243.5589
3708Religare Active Income Fund - Plan A - Annual Dividend31-JAN-1211.0879
3709Religare Active Income Fund - Plan A - Discretionary Dividend31-JAN-1210.2374
3710Religare Active Income Fund - Plan A - Growth31-JAN-1212.5448
3711Religare Active Income Fund - Plan A - Monthly Dividend31-JAN-1210.8241
3712Religare Active Income Fund - Plan A - Quarterly Dividend31-JAN-1210.2134
3713Religare Active Income Fund - Plan B - Growth31-JAN-1211.4234
3714Religare Active Income Fund - Plan B - Monthly Dividend31-JAN-1210.5891
3715Religare Active Income Fund - Plan B - Quarterly Dividend30-MAR-1110.2534
3716Religare Agile Fund - Dividend31-JAN-12 6.3500
3717Religare Agile Fund - Growth31-JAN-12 6.3300
3718Religare Agile Tax Fund - Dividend31-JAN-12 7.1000
3719Religare Agile Tax Fund - Growth31-JAN-12 7.1000
3720Religare Arbitrage Fund - Dividend31-JAN-1211.1959
3721Religare Arbitrage Fund - Growth31-JAN-1213.6810
3722Religare Banking Fund - Regular - Dividend31-JAN-1214.1000
3723Religare Banking Fund - Regular - Growth31-JAN-1218.1800
3724Religare Business Leaders Fund - Dividend31-JAN-1210.4100
3725Religare Business Leaders Fund - Growth31-JAN-1211.4400
3726Religare Capital Protection Oriented Fund - Series I31-JAN-1210.2766
3727Religare Contra Fund - Dividend31-JAN-1211.4500
3728Religare Contra Fund - Growth31-JAN-1214.8100
3729Religare Credit Opportunities Fund - Institutional - Daily Dividend31-JAN-1210.0029
3730Religare Credit Opportunities Fund - Institutional - Dividend31-JAN-1210.1603
3731Religare Credit Opportunities Fund - Institutional - Growth31-JAN-1211.8858
3732Religare Credit Opportunities Fund - Regular - Daily Dividend31-JAN-1210.0200
3733Religare Credit Opportunities Fund - Regular - Dividend31-JAN-1210.2137
3734Religare Credit Opportunities Fund - Regular - Growth31-JAN-1211.7533
3735Religare Equity Fund - Dividend31-JAN-1211.3300
3736Religare Equity Fund - Growth31-JAN-1211.3300
3737Religare Fixed Maturity Plan - Series IX - Plan A - Dividend31-JAN-1210.3656
3738Religare Fixed Maturity Plan - Series IX - Plan A - Growth31-JAN-1210.3656
3739Religare Fixed Maturity Plan - Series IX - Plan B - Dividend31-JAN-1210.3391
3740Religare Fixed Maturity Plan - Series IX - Plan B - Growth31-JAN-1210.3391
3741Religare Fixed Maturity Plan - Series IX - Plan C - Dividend31-JAN-1210.3405
3742Religare Fixed Maturity Plan - Series IX - Plan C - Growth31-JAN-1210.3405
3743Religare Fixed Maturity Plan - Series IX - Plan D - Dividend31-JAN-1210.3149
3744Religare Fixed Maturity Plan - Series IX - Plan D - Growth31-JAN-1210.3149
3745Religare Fixed Maturity Plan - Series IX - Plan F - Dividend31-JAN-1210.3448
3746Religare Fixed Maturity Plan - Series IX - Plan F - Growth31-JAN-1210.3448
3747Religare Fixed Maturity Plan - Series V - Plan B - Dividend31-JAN-1210.6949
3748Religare Fixed Maturity Plan - Series V - Plan B - Growth31-JAN-1210.9977
3749Religare Fixed Maturity Plan - Series V - Plan D - Dividend31-JAN-1210.9600
3750Religare Fixed Maturity Plan - Series V - Plan D - Growth31-JAN-1210.9600
3751Religare Fixed Maturity Plan - Series V - Plan E - Dividend31-JAN-1210.9279
3752Religare Fixed Maturity Plan - Series V - Plan E - Growth31-JAN-1210.9279
3753Religare Fixed Maturity Plan - Series VI - Plan A - Dividend31-JAN-1210.9191
3754Religare Fixed Maturity Plan - Series VI - Plan A - Growth31-JAN-1210.9191
3755Religare Fixed Maturity Plan - Series VI - Plan B - Dividend31-JAN-1210.8992
3756Religare Fixed Maturity Plan - Series VI - Plan B - Growth31-JAN-1210.8992
3757Religare Fixed Maturity Plan - Series VI - Plan C - Dividend31-JAN-1210.8597
3758Religare Fixed Maturity Plan - Series VI - Plan C - Growth31-JAN-1210.8597
3759Religare Fixed Maturity Plan - Series VI - Plan D - Dividend31-JAN-1210.6427
3760Religare Fixed Maturity Plan - Series VI - Plan D - Growth31-JAN-1210.8504
3761Religare Fixed Maturity Plan - Series VI - Plan E - Dividend31-JAN-1210.8494
3762Religare Fixed Maturity Plan - Series VI - Plan E - Growth31-JAN-1210.8493
3763Religare Fixed Maturity Plan - Series VII - Plan A - Dividend31-JAN-1210.7389
3764Religare Fixed Maturity Plan - Series VII - Plan A - Growth31-JAN-1210.7389
3765Religare Fixed Maturity Plan - Series VII - Plan C - Dividend31-JAN-1210.6902
3766Religare Fixed Maturity Plan - Series VII - Plan C - Growth31-JAN-1210.6902
3767Religare Fixed Maturity Plan - Series VIII - Plan A - Dividend31-JAN-1210.6214
3768Religare Fixed Maturity Plan - Series VIII - Plan A - Growth31-JAN-1210.6214
3769Religare Fixed Maturity Plan - Series VIII - Plan B - Dividend31-JAN-1210.6473
3770Religare Fixed Maturity Plan - Series VIII - Plan B - Growth31-JAN-1210.6473
3771Religare Fixed Maturity Plan - Series VIII - Plan F - Dividend31-JAN-1210.3641
3772Religare Fixed Maturity Plan - Series VIII - Plan F - Growth31-JAN-1210.3641
3773Religare Fixed Maturity Plan - Series X - Plan A - Dividend31-JAN-1210.2939
3774Religare Fixed Maturity Plan - Series X - Plan A - Growth31-JAN-1210.2939
3775Religare Fixed Maturity Plan - Series X - Plan B - Dividend31-JAN-1210.1991
3776Religare Fixed Maturity Plan - Series X - Plan B - Growth31-JAN-1210.1991
3777Religare Fixed Maturity Plan - Series X - Plan D - Dividend31-JAN-1210.2240
3778Religare Fixed Maturity Plan - Series X - Plan D - Growth31-JAN-1210.2240
3779Religare Fixed Maturity Plan - Series X - Plan E - Dividend30-JAN-1210.1529
3780Religare Fixed Maturity Plan - Series X - Plan E - Growth30-JAN-1210.1529
3781Religare Fixed Maturity Plan - Series X - Plan F - Dividend30-JAN-1210.1431
3782Religare Fixed Maturity Plan - Series X - Plan F - Growth31-JAN-1210.1415
3783Religare Fixed Maturity Plan - Series XI - Plan A - Dividend31-JAN-1210.1127
3784Religare Fixed Maturity Plan - Series XI - Plan A - Growth31-JAN-1210.1127
3785Religare Fixed Maturity Plan - Series XI - Plan C - Dividend31-JAN-1210.1952
3786Religare Fixed Maturity Plan - Series XI - Plan C - Growth31-JAN-1210.1952
3787Religare Fixed Maturity Plan - Series XI - Plan E - Dividend31-JAN-1210.0978
3788Religare Fixed Maturity Plan - Series XI - Plan E - Growth31-JAN-1210.0978
3789Religare Fixed Maturity Plan - Series XI - Plan F - Dividend31-JAN-1210.1121
3790Religare Fixed Maturity Plan - Series XI - Plan F - Growth31-JAN-1210.1121
3791Religare Fixed Maturity Plan - Series XII - Plan A - Dividend31-JAN-1210.0362
3792Religare Fixed Maturity Plan - Series XII - Plan A - Growth31-JAN-1210.0362
3793Religare Gilt Fund Long Duration Plan - Institutional - Growth03-NOV-10 9.9186
3794Religare Gilt Fund Long Duration Plan - Institutional - Monthly Dividend30-DEC-0810.7870
3795Religare Gilt Fund Long Duration Plan - Retail - Annual Dividend31-JAN-1211.2587
3796Religare Gilt Fund Long Duration Plan - Retail - Growth31-JAN-1211.6259
3797Religare Gilt Fund Long Duration Plan - Retail - Monthly Dividend31-JAN-1210.9138
3798Religare Gilt Fund Long Duration Plan - Retail - Quarterly Dividend31-JAN-1210.2385
3799Religare Gilt Fund Short Duration Plan - Institutional - Growth03-FEB-09 9.9985
3800Religare Gilt Fund Short Duration Plan - Institutional - Weekly Dividend04-JUN-0810.0031
3801Religare Gilt Fund Short Duration Plan - Retail - Growth31-JAN-1211.4002
3802Religare Gilt Fund Short Duration Plan - Retail - Monthly Dividend31-JAN-1210.9168
3803Religare Gilt Fund Short Duration Plan - Retail - Weekly Dividend29-SEP-1110.0057
3804Religare Gold Exchange Traded Fund - Growth31-JAN-122808.2908
3805Religare Gold Fund - Dividend31-JAN-12 9.7502
3806Religare Gold Fund - Growth31-JAN-12 9.7504
3807Religare Growth Fund - Dividend31-JAN-1210.8100
3808Religare Growth Fund - Growth31-JAN-1211.9000
3809Religare Half Yearly Interval Fund - Plan A - Institutional - Dividend26-MAY-0910.0998
3810Religare Half Yearly Interval Fund - Plan A - Institutional - Growth02-MAR-0910.5801
3811Religare Half Yearly Interval Fund - Plan A - Regular - Dividend03-SEP-0910.0021
3812Religare Half Yearly Interval Fund - Plan A - Regular - Growth03-SEP-0910.5882
3813Religare Infrastructure Fund - Dividend31-JAN-12 7.0800
3814Religare Infrastructure Fund - Growth31-JAN-12 7.0800
3815Religare Liquid Fund - Institutional - Daily Dividend31-JAN-121000.2250
3816Religare Liquid Fund - Institutional - Growth31-JAN-121439.4204
3817Religare Liquid Fund - Institutional - Weekly Dividend31-MAY-111000.5785
3818Religare Liquid Fund - Retail - Growth31-JAN-121416.1247
3819Religare Liquid Fund - Retail - Weekly Dividend31-JAN-121000.5793
3820Religare Liquid Fund - Super Institutional - Daily Dividend31-JAN-121000.7849
3821Religare Liquid Fund - Super Institutional - Growth31-JAN-121450.9681
3822Religare Liquid Fund - Super Institutional - Monthly Dividend22-SEP-0810.0357
3823Religare Liquid Fund - Super Institutional - Weekly Dividend06-OCT-1010.0070
3824Religare Liquid Plus Fund - Institutional - Daily Dividend31-JAN-121001.7150
3825Religare Liquid Plus Fund - Institutional - Growth31-JAN-121458.3360
3826Religare Liquid Plus Fund - Institutional - Monthly Dividend04-NOV-111002.4791
3827Religare Liquid Plus Fund - Institutional - Weekly Dividend31-JAN-121001.7450
3828Religare Liquid Plus Fund - Retail - Bonus31-JAN-121372.0216
3829Religare Liquid Plus Fund - Retail - Daily Dividend31-JAN-121001.6350
3830Religare Liquid Plus Fund - Retail - Growth31-JAN-121422.7106
3831Religare Liquid Plus Fund - Retail - Monthly Dividend31-JAN-121001.7684
3832Religare Liquid Plus Fund - Retail - Weekly Dividend31-JAN-121002.1827
3833Religare Medium Term Bond Fund - Annual Dividend31-JAN-1210.8329
3834Religare Medium Term Bond Fund - Growth31-JAN-1210.9073
3835Religare Medium Term Bond Fund - Monthly Dividend31-JAN-1210.0132
3836Religare Medium Term Bond Fund - Quarterly Dividend31-JAN-1210.2297
3837Religare Mid Cap Fund - Dividend31-JAN-1211.2200
3838Religare Mid Cap Fund - Growth31-JAN-1213.5400
3839Religare Mid N Small Cap Fund - Dividend31-JAN-1213.5900
3840Religare Mid N Small Cap Fund - Growth31-JAN-1213.5900
3841Religare Monthly Income Plan - Growth30-JAN-1210.7417
3842Religare Monthly Income Plan - Monthly Dividend30-JAN-1210.1455
3843Religare Monthly Income Plan Plus - Growth31-JAN-1211.2863
3844Religare Monthly Income Plan Plus - Monthly Dividend31-JAN-1210.3008
3845Religare Monthly Interval Fund - Plan A - Dividend29-DEC-0810.0022
3846Religare Monthly Interval Fund - Plan A - Growth29-DEC-0810.5121
3847Religare Monthly Interval Fund - Plan B - Dividend21-NOV-0810.0157
3848Religare Monthly Interval Fund - Plan B - Growth21-NOV-0810.3747
3849Religare Nifty Exchange Traded Fund31-JAN-12520.9813
3850Religare Overnight Fund - Daily Dividend31-JAN-121000.0048
3851Religare Overnight Fund - Growth31-JAN-121241.2836
3852Religare PSU Equity Fund - Dividend31-JAN-12 8.6800
3853Religare PSU Equity Fund - Growth31-JAN-12 9.6300
3854Religare Quarterly Interval Fund - Plan D - Dividend24-MAR-0910.0086
3855Religare Quarterly Interval Fund - Plan D - Growth24-MAR-0911.2021
3856Religare Quarterly Interval Fund - Plan E - Dividend29-DEC-0810.1419
3857Religare Quarterly Interval Fund - Plan E - Growth29-DEC-0811.2047
3858Religare Quarterly Interval Fund - Plan F - Dividend25-JUN-0910.0029
3859Religare Quarterly Interval Fund - Plan F - Growth25-JUN-0911.4789
3860Religare Quarterly Interval Fund - Plan H - Institutional - Dividend24-FEB-0910.3085
3861Religare Quarterly Interval Fund - Plan H - Institutional - Growth17-FEB-0910.4836
3862Religare Quarterly Interval Fund - Plan H - Regular - Dividend24-FEB-0910.3070
3863Religare Quarterly Interval Fund - Plan H - Regular - Growth24-FEB-0910.7911
3864Religare Quarterly Interval Fund - Plan J - Institutional - Dividend04-MAY-0910.0015
3865Religare Quarterly Interval Fund - Plan J - Institutional - Growth27-APR-0910.4701
3866Religare Quarterly Interval Fund - Plan J - Regular - Dividend04-MAY-0910.0012
3867Religare Quarterly Interval Fund - Plan J - Regular - Growth04-MAY-0910.4611
3868Religare Short Term Plan - Institutional - Daily Dividend31-JAN-1210.3180
3869Religare Short Term Plan - Institutional - Growth31-JAN-1214.4059
3870Religare Short Term Plan - Institutional - Monthly Dividend31-JAN-1210.7056
3871Religare Short Term Plan - Institutional - Weekly Dividend31-JAN-1210.1582
3872Religare Short Term Plan - Retail - Growth30-JAN-1214.3165
3873Religare Short Term Plan - Retail - Monthly Dividend31-JAN-1210.4773
3874Religare Short Term Plan - Retail - Weekly Dividend31-JAN-1210.1842
3875Religare Tax Plan - Dividend31-JAN-1211.0900
3876Religare Tax Plan - Growth31-JAN-1216.5600
3877Religare Ultra Short Term Fund - Institutional - Discretionary Dividend17-JAN-121000.2649
3878SBI ARBITRAGE Opportunities Fund - Dividend31-JAN-1212.4205
3879SBI ARBITRAGE Opportunities Fund - Growth31-JAN-1214.4192
3880SBI Blue Chip Fund - Dividend31-JAN-1210.3500
3881SBI Blue Chip Fund - Growth31-JAN-1213.2500
3882SBI Capital Protection Oriented Fund - Series - II - Growth31-JAN-1210.5272
3883SBI Capital Protection Oriented Fund - Series - III - Growth31-JAN-1210.3146
3884SBI Capital Protection Oriented Fund - Series 125-JAN-1211.3834
3885SBI Dynamic Bond Fund - Dividend31-JAN-1211.2318
3886SBI Dynamic Bond Fund - Growth31-JAN-1213.0291
3887SBI Gold Exchange Traded Scheme - Growth31-JAN-122785.7917
3888SBI Gold Fund - Dividend31-JAN-12 9.9461
3889SBI Gold Fund - Growth31-JAN-12 9.9449
3890SBI Infrastructure Fund - Series I - Dividend31-JAN-12 7.9000
3891SBI Infrastructure Fund - Series I - Growth31-JAN-12 7.9000
3892SBI Infrastructure Fund - Series I - Repurchase Dividend09-JUL-1010.2800
3893SBI Infrastructure Fund - Series I - Repurchase Growth09-JUL-1010.2800
3894SBI Magnum Balanced Fund - Dividend31-JAN-1222.4000
3895SBI Magnum Balanced Fund - Growth31-JAN-1245.4900
3896SBI Magnum Children Benefit Plan31-JAN-1223.8234
3897SBI Magnum Comma Fund - Dividend31-JAN-1214.3600
3898SBI Magnum Comma Fund - Growth31-JAN-1221.2700
3899SBI Magnum Equity Fund - Dividend31-JAN-1227.5600
3900SBI Magnum Equity Fund - Growth31-JAN-1241.0300
3901SBI Magnum Gilt Long Term Plan - Growth31-JAN-1221.0911
3902SBI Magnum Gilt Long Term Plan - PF (Fixed Period - 1 Yr) - Dividend31-JAN-1210.6909
3903SBI Magnum Gilt Long Term Plan - PF (Fixed Period - 1 Yr) - Growth31-JAN-1213.1465
3904SBI Magnum Gilt Long Term Plan - PF (Fixed Period - 2 Yrs) - Dividend31-JAN-1210.7876
3905SBI Magnum Gilt Long Term Plan - PF (Fixed Period - 2 Yrs) - Growth31-JAN-1212.9722
3906SBI Magnum Gilt Long Term Plan - PF (Fixed Period - 3 Yrs) - Dividend31-JAN-1210.5887
3907SBI Magnum Gilt Long Term Plan - PF (Fixed Period - 3 Yrs) - Growth27-JAN-1212.6862
3908SBI Magnum Gilt Long Term Plan - PF (Regular) - Dividend30-JAN-1210.9355
3909SBI Magnum Gilt Long Term Plan - PF (Regular) - Growth31-JAN-1213.5287
3910SBI Magnum Gilt Long Term Plan - Quarterly Dividend31-JAN-1210.8653
3911SBI Magnum Gilt Short Term Plan - Growth31-JAN-1220.9895
3912SBI Magnum Gilt Short Term Plan - Monthly Dividend31-JAN-1211.2799
3913SBI Magnum Global Fund - Growth31-JAN-1253.6400
3914SBI Magnum Global Fund - Dividend31-JAN-1225.2300
3915SBI Magnum Income Fund - Floating Rate Plan - LTP - Institutional - Growth18-JUL-0711.9448
3916SBI Magnum Income Fund - Floating Rate Plan - LTP - Institutional - Quarterly Dividend09-MAY-0710.7970
3917SBI Magnum Income Fund - Floating Rate Plan - LTP - Regular - Growth31-JAN-1215.9763
3918SBI Magnum Income Fund - Floating Rate Plan - LTP - Regular - Quarterly Dividend31-JAN-1211.6188
3919SBI Magnum Income Fund - Floating Rate Plan - Savings Plus Bond Plan - Daily Dividend31-JAN-1210.0622
3920SBI Magnum Income Fund - Floating Rate Plan - Savings Plus Bond Plan - Growth31-JAN-1216.3834
3921SBI Magnum Income Fund - Floating Rate Plan - Savings Plus Bond Plan - Monthly Dividend31-JAN-1210.8911
3922SBI Magnum Income Fund - Floating Rate Plan - Savings Plus Bond Plan - Weekly Dividend31-JAN-1211.2285
3923SBI Magnum Income Fund -Bonus31-JAN-1215.4468
3924SBI Magnum Income Fund -Dividend31-JAN-1211.3122
3925SBI Magnum Income Fund -Growth31-JAN-1225.4964
3926SBI Magnum Income Plus Fund - Investment Plan - Dividend31-JAN-1210.7391
3927SBI Magnum Income Plus Fund - Investment Plan - Growth31-JAN-1216.9868
3928SBI Magnum Income Plus Fund - Savings Plan - Dividend31-JAN-1210.7894
3929SBI Magnum Income Plus Fund - Savings Plan - Growth31-JAN-1211.9123
3930SBI Magnum Index Fund - Dividend31-JAN-1222.6902
3931SBI Magnum Index Fund - Growth31-JAN-1244.2976
3932SBI Magnum Insta Cash Fund - Daily Dividend31-JAN-121675.0300
3933SBI Magnum Insta Cash Fund - Cash Plan31-JAN-122339.4764
3934SBI Magnum Insta Cash Fund - Dividend31-JAN-121078.3736
3935SBI Magnum Insta Cash Fund - Liquid Floater Plan - Daily Dividend31-JAN-121009.9100
3936SBI Magnum Insta Cash Fund - Liquid Floater Plan - Dividend31-JAN-121031.9452
3937SBI Magnum Insta Cash Fund - Liquid Floater Plan - Growth31-JAN-121819.6701
3938SBI Magnum Midcap Fund - Dividend31-JAN-1215.6700
3939SBI Magnum Midcap Fund - Growth31-JAN-1220.4300
3940SBI Magnum Monthly Income Plan - Annual Dividend31-JAN-1211.7941
3941SBI Magnum Monthly Income Plan - Floater - Annual Dividend31-JAN-1212.3257
3942SBI Magnum Monthly Income Plan - Floater - Growth31-JAN-1213.9675
3943SBI Magnum Monthly Income Plan - Floater - Monthly Dividend31-JAN-1210.4727
3944SBI Magnum Monthly Income Plan - Floater - Quarterly Dividend31-JAN-1210.6260
3945SBI Magnum Monthly Income Plan - Growth31-JAN-1220.8401
3946SBI Magnum Monthly Income Plan - Monthly31-JAN-1210.3507
3947SBI Magnum Monthly Income Plan - Quarterly31-JAN-1210.3394
3948SBI Magnum Multicap Fund - Dividend31-JAN-1211.5800
3949SBI Magnum Multicap Fund - Growth31-JAN-1215.2500
3950SBI Magnum Multiplier Plus Scheme 93 - Dividend31-JAN-1246.0800
3951SBI Magnum Multiplier Plus Scheme 93 - Growth31-JAN-1272.8500
3952SBI Magnum NRI Investment Fund - FlexiAsset Plan - Dividend31-JAN-1228.2523
3953SBI Magnum NRI Investment Fund - FlexiAsset Plan - Growth31-JAN-1228.1490
3954SBI Magnum Sector Funds Umbrella - Contra Fund - Dividend31-JAN-1216.0500
3955SBI Magnum Sector Funds Umbrella - Contra Fund - Growth31-JAN-1248.8600
3956SBI Magnum Sector Funds Umbrella - Emerging Business Fund - Dividend31-JAN-1216.0100
3957SBI Magnum Sector Funds Umbrella - Emerging Business Fund - Growth31-JAN-1242.2900
3958SBI Magnum Sector Funds Umbrella - FMCG Fund31-JAN-1233.2600
3959SBI Magnum Sector Funds Umbrella - IT Fund31-JAN-1221.7900
3960SBI Magnum Sector Funds Umbrella - Pharma Fund - Dividend31-JAN-1237.9600
3961SBI Magnum Sector Funds Umbrella - Pharma Fund - Growth31-JAN-1245.9200
3962SBI Magnum Tax Gain - Dividend31-JAN-1233.7500
3963SBI Magnum Tax Gain - Growth31-JAN-1255.2900
3964SBI ONE India Fund - Dividend31-JAN-12 9.9100
3965SBI ONE India Fund - Growth31-JAN-12 9.9100
3966SBI ONE India Fund - Repurchase Dividend24-DEC-0910.4000
3967SBI ONE India Fund - Repurchase Growth24-DEC-0910.4000
3968SBI PSU Fund - Dividend31-JAN-12 8.3500
3969SBI PSU Fund - Growth31-JAN-12 8.3500
3970SBI Premier Liquid Fund - Institutional - Daily Dividend31-JAN-121003.2500
3971SBI Premier Liquid Fund - Institutional - Fortnightly Dividend31-JAN-121023.1184
3972SBI Premier Liquid Fund - Institutional - Growth31-JAN-121676.9857
3973SBI Premier Liquid Fund - Institutional - Weekly Dividend31-JAN-121061.1667
3974SBI Premier Liquid Fund - Super Institutional - Daily Dividend31-JAN-121003.2500
3975SBI Premier Liquid Fund - Super Institutional - Growth31-JAN-121660.0806
3976SBI Premier Liquid Fund - Super Institutional - Weekly Dividend23-JAN-121061.6051
3977SBI SDFS - 13 Months - 11 - Dividend31-JAN-1210.8470
3978SBI SDFS - 13 Months - 11 - Growth31-JAN-1210.8472
3979SBI SDFS - 15 Months - 6 - Dividend31-JAN-1210.9136
3980SBI SDFS - 15 Months - 6 - Growth31-JAN-1210.9658
3981SBI SDFS - 15 Months - 7 - Dividend31-JAN-1210.0398
3982SBI SDFS - 15 Months - 7 - Growth31-JAN-1210.0398
3983SBI SDFS - 15 Months - 8 - Dividend31-JAN-1210.0235
3984SBI SDFS - 15 Months - 8 - Growth31-JAN-1210.0235
3985SBI SDFS - 18 Months - 10 - Dividend31-JAN-1210.0562
3986SBI SDFS - 18 Months - 10 - Growth31-JAN-1210.0562
3987SBI SDFS - 18 Months - 4 - Dividend31-JAN-1210.9295
3988SBI SDFS - 18 Months - 4 - Growth31-JAN-1210.9815
3989SBI SDFS - 18 Months - 5 - Dividend31-JAN-1210.9474
3990SBI SDFS - 18 Months - 5 - Growth31-JAN-1210.9472
3991SBI SDFS - 18 Months - 6 - Dividend31-JAN-1210.9339
3992SBI SDFS - 18 Months - 6 - Growth31-JAN-1210.9338
3993SBI SDFS - 18 Months - 7 - Dividend31-JAN-1210.2890
3994SBI SDFS - 18 Months - 7 - Growth31-JAN-1210.2890
3995SBI SDFS - 18 Months - 8 - Dividend31-JAN-1210.2595
3996SBI SDFS - 18 Months - 8 - Growth31-JAN-1210.2632
3997SBI SDFS - 18 Months - 9 - Dividend31-JAN-1210.0672
3998SBI SDFS - 18 Months - 9 - Growth31-JAN-1210.0672
3999SBI SDFS - 180 Days - 21 - Dividend31-JAN-1210.3858
4000SBI SDFS - 180 Days - 21 - Growth31-JAN-1210.4245
4001SBI SDFS - 180 Days - 22 - Dividend31-JAN-1210.2601
4002SBI SDFS - 180 Days - 22 - Growth31-JAN-1210.2610
4003SBI SDFS - 180 Days - 23 - Dividend31-JAN-1210.2023
4004SBI SDFS - 180 Days - 23 - Growth31-JAN-1210.2023
4005SBI SDFS - 24 Months - Series 2 - Dividend31-JAN-1210.9841
4006SBI SDFS - 24 Months - Series 2 - Growth31-JAN-1210.9852
4007SBI SDFS - 36 Months - 1 - Dividend31-JAN-1210.7030
4008SBI SDFS - 36 Months - 1 - Growth31-JAN-1210.7030
4009SBI SDFS - 367 Days - 1 - Dividend30-JAN-1210.6097
4010SBI SDFS - 367 Days - 1 - Growth31-JAN-1210.6108
4011SBI SDFS - 367 Days - 10 - Dividend31-JAN-1210.1536
4012SBI SDFS - 367 Days - 10 - Growth31-JAN-1210.1536
4013SBI SDFS - 367 Days - 11 - Dividend31-JAN-1210.1547
4014SBI SDFS - 367 Days - 11 - Growth31-JAN-1210.1547
4015SBI SDFS - 367 Days - 12 - Dividend31-JAN-1210.0860
4016SBI SDFS - 367 Days - 12 - Growth31-JAN-1210.0860
4017SBI SDFS - 367 Days - 13 - Dividend31-JAN-1210.0388
4018SBI SDFS - 367 Days - 13 - Growth31-JAN-1210.0388
4019SBI SDFS - 367 Days - 2 - Dividend31-JAN-1210.4651
4020SBI SDFS - 367 Days - 2 - Growth31-JAN-1210.5538
4021SBI SDFS - 367 Days - 3 - Dividend31-JAN-1210.4945
4022SBI SDFS - 367 Days - 3 - Growth31-JAN-1210.4945
4023SBI SDFS - 367 Days - 4 - Dividend31-JAN-1210.4591
4024SBI SDFS - 367 Days - 4 - Growth31-JAN-1210.4591
4025SBI SDFS - 367 Days - 5 - Dividend31-JAN-1210.4075
4026SBI SDFS - 367 Days - 5 - Growth31-JAN-1210.4075
4027SBI SDFS - 367 Days - 6 - Dividend31-JAN-1210.3102
4028SBI SDFS - 367 Days - 6 - Growth31-JAN-1210.3107
4029SBI SDFS - 367 Days - 7 - Dividend31-JAN-1210.2485
4030SBI SDFS - 367 Days - 7 - Growth31-JAN-1210.2485
4031SBI SDFS - 367 Days - 8 - Dividend31-JAN-1210.2146
4032SBI SDFS - 367 Days - 8 - Growth31-JAN-1210.2146
4033SBI SDFS - 367 Days - 9 - Dividend31-JAN-1210.2000
4034SBI SDFS - 367 Days - 9 - Growth31-JAN-1210.1999
4035SBI SDFS - 370 Days - 10 - Dividend31-JAN-1210.9188
4036SBI SDFS - 370 Days - 10 - Growth31-JAN-1210.9189
4037SBI SDFS - 370 Days - 11 - Dividend31-JAN-1210.8387
4038SBI SDFS - 370 Days - 11 - Growth31-JAN-1210.8391
4039SBI SDFS - 370 Days - 12 - Dividend31-JAN-1210.7521
4040SBI SDFS - 370 Days - 12 - Growth31-JAN-1210.7521
4041SBI SDFS - 370 Days - 13 - Dividend31-JAN-1210.7423
4042SBI SDFS - 370 Days - 13 - Growth31-JAN-1210.7426
4043SBI SDFS - 370 Days - 14 - Dividend31-JAN-1210.6898
4044SBI SDFS - 370 Days - 14 - Growth31-JAN-1210.6897
4045SBI SDFS - 370 Days - 15 - Dividend31-JAN-1210.6605
4046SBI SDFS - 370 Days - 15 - Growth31-JAN-1210.6606
4047SBI SDFS - 370 Days - 9 - Dividend31-JAN-1210.9558
4048SBI SDFS - 370 Days - 9 - Growth29-JAN-1210.9490
4049SBI SDFS - 60 Months - Series 1 - Dividend31-JAN-1210.7964
4050SBI SDFS - 60 Months - Series 1 - Growth31-JAN-1210.7963
4051SBI SDFS - 90 Days - 52 - Dividend31-JAN-1210.1641
4052SBI SDFS - 90 Days - 52 - Growth31-JAN-1210.1641
4053SBI SDFS - 90 Days - 53 - Dividend31-JAN-1210.0953
4054SBI SDFS - 90 Days - 53 - Growth31-JAN-1210.0953
4055SBI SDFS - 90 Days - 54 - Dividend31-JAN-1210.0559
4056SBI SDFS - 90 Days - 54 - Growth31-JAN-1210.0559
4057SBI Short Horizon Debt Fund - Short Term Fund - Institutional - Growth31-JAN-1212.0526
4058SBI Short Horizon Debt Fund - Short Term Fund - Institutional - Monthly Dividend31-JAN-1211.0369
4059SBI Short Horizon Debt Fund - Short Term Fund - Institutional - Weekly Dividend31-JAN-1210.3584
4060SBI Short Horizon Debt Fund - Short Term Fund - Retail - Fortnightly Dividend31-JAN-1210.7704
4061SBI Short Horizon Debt Fund - Short Term Fund - Retail - Growth31-JAN-1213.6681
4062SBI Short Horizon Debt Fund - Short Term Fund - Retail - Monthly Dividend31-JAN-1210.5919
4063SBI Short Horizon Debt Fund - Short Term Fund - Retail - Weekly Dividend31-JAN-1210.7415
4064SBI Short Horizon Debt Fund - Ultra Short Term Fund - Institutional - Daily Dividend31-JAN-121000.6000
4065SBI Short Horizon Debt Fund - Ultra Short Term Fund - Institutional - Growth31-JAN-121379.0712
4066SBI Short Horizon Debt Fund - Ultra Short Term Fund - Institutional - Monthly Dividend31-JAN-121060.6779
4067SBI Short Horizon Debt Fund - Ultra Short Term Fund - Institutional - Weekly Dividend31-JAN-121005.5121
4068SBI Short Horizon Debt Fund - Ultra Short Term Fund - Retail - Daily Dividend31-JAN-121000.7700
4069SBI Short Horizon Debt Fund - Ultra Short Term Fund - Retail - Fortnightly Dividend31-JAN-121025.1017
4070SBI Short Horizon Debt Fund - Ultra Short Term Fund - Retail - Growth31-JAN-121357.8553
4071SBI Short Horizon Debt Fund - Ultra Short Term Fund - Retail - Monthly Dividend31-JAN-121035.7122
4072SBI Short Horizon Debt Fund - Ultra Short Term Fund - Retail - Weekly Dividend31-JAN-121011.0334
4073SBI Tax Advantage Fund Series 1 - Dividend31-JAN-1210.1200
4074SBI Tax Advantage Fund Series 1 - Growth30-JAN-12 9.9200
4075Sahara Banking and Financial Services Fund - Dividend31-JAN-1211.3157
4076Sahara Banking and Financial Services Fund - Growth31-JAN-1226.6156
4077Sahara Classic Fund - Dividend31-JAN-1214.5898
4078Sahara Classic Fund - Growth31-JAN-1214.5904
4079Sahara Gilt Fund-Dividend31-JAN-1215.2651
4080Sahara Gilt Fund-Growth31-JAN-1218.2915
4081Sahara Growth Fund-Dividend31-JAN-1221.7078
4082Sahara Growth Fund-Growth31-JAN-1274.7870
4083Sahara Income Fund-Dividend31-JAN-1216.7006
4084Sahara Income Fund-Growth31-JAN-1220.2777
4085Sahara Infrastructure Fund - Fixed Pricing Option - Dividend31-JAN-12 9.6246
4086Sahara Infrastructure Fund - Fixed Pricing Option - Growth31-JAN-1213.1630
4087Sahara Infrastructure Fund - Variable Pricing Option - Dividend31-JAN-1210.1042
4088Sahara Infrastructure Fund - Variable Pricing Option - Growth31-JAN-1213.7511
4089Sahara Interval Fund - Quarterly Plan - Series 1 - Dividend31-JAN-1212.7817
4090Sahara Interval Fund - Quarterly Plan - Series 1 - Growth31-JAN-1212.7818
4091Sahara Liquid Fund - Fixed Pricing Option - Daily Dividend31-JAN-121024.9599
4092Sahara Liquid Fund - Fixed Pricing Option - Growth31-JAN-121915.3094
4093Sahara Liquid Fund - Fixed Pricing Option - Monthly Dividend31-JAN-121025.4788
4094Sahara Liquid Fund - Fixed Pricing Option - Weekly Dividend31-JAN-121027.4373
4095Sahara Liquid Fund - Variable Pricing Option - Daily Dividend31-JAN-121024.9762
4096Sahara Liquid Fund - Variable Pricing Option - Growth31-JAN-121931.2602
4097Sahara Liquid Fund - Variable Pricing Option - Monthly Dividend31-JAN-121027.9450
4098Sahara Liquid Fund - Variable Pricing Option - Weekly Dividend31-JAN-121026.2251
4099Sahara Mid-Cap Fund - Auto Payout31-JAN-1227.6574
4100Sahara Mid-Cap Fund - Bonus31-JAN-1227.6574
4101Sahara Mid-Cap Fund - Dividend31-JAN-1212.2369
4102Sahara Mid-Cap Fund - Growth31-JAN-1227.6574
4103Sahara Power And Natural Resources Fund - Dividend31-JAN-12 9.5526
4104Sahara Power And Natural Resources Fund - Growth31-JAN-1211.1982
4105Sahara R.E.A.L. Fund - Dividend31-JAN-12 7.0531
4106Sahara R.E.A.L. Fund - Growth31-JAN-12 7.0531
4107Sahara Short Term Bond Fund - Growth31-JAN-1212.7413
4108Sahara Short Term Bond Fund - Monthly Dividend31-JAN-1210.2078
4109Sahara Star Value Fund - Dividend31-JAN-12 9.9537
4110Sahara Star Value Fund - Growth31-JAN-1210.8684
4111Sahara Super 20 Fund - Dividend31-JAN-1211.2337
4112Sahara Super 20 Fund - Growth31-JAN-1211.2332
4113Sahara Tax Gain Fund - Dividend31-JAN-1213.1787
4114Sahara Tax Gain Fund - Growth31-JAN-1235.1134
4115Sahara Wealth Plus Fund - Fixed Pricing Option - Dividend31-JAN-1215.7123
4116Sahara Wealth Plus Fund - Fixed Pricing Option - Growth31-JAN-1218.9685
4117Sahara Wealth Plus Fund - Variable Pricing Option - Dividend31-JAN-1216.5969
4118Sahara Wealth Plus Fund - Variable Pricing Option - Growth31-JAN-1219.8836
4119Sundaram Balanced Fund - Institutional - Dividend31-JAN-1210.3887
4120Sundaram Balanced Fund - Regular - Dividend31-JAN-12 9.9428
4121Sundaram Balanced Fund - Regular - Growth31-JAN-1244.7873
4122Sundaram Bond Saver - Annual Dividend31-JAN-1211.2601
4123Sundaram Bond Saver - Appreciation31-JAN-1230.1104
4124Sundaram Bond Saver - Bonus31-JAN-1215.8335
4125Sundaram Bond Saver - Half Yearly Dividend31-JAN-1211.3510
4126Sundaram Bond Saver - Institutional Plan - Annual18-AUG-0310.5637
4127Sundaram Bond Saver - Institutional Plan - Bonus31-JAN-1215.8737
4128Sundaram Bond Saver - Institutional Plan - Growth31-JAN-1233.9815
4129Sundaram Bond Saver - Institutional Plan - Half Yearly18-AUG-0310.5637
4130Sundaram Bond Saver - Institutional Plan - Quarterly14-JAN-1110.5101
4131Sundaram Bond Saver - Quarterly Dividend31-JAN-1211.1239
4132Sundaram CAPEX Opportunities Fund - Regular - Dividend31-JAN-12 9.1274
4133Sundaram CAPEX Opportunities Fund - Regular - Growth31-JAN-1217.6401
4134Sundaram Capital Protection Oriented Fund - Series 1 - 2 Years - Dividend31-JAN-1210.4374
4135Sundaram Capital Protection Oriented Fund - Series 1 - 2 Years - Growth31-JAN-1210.4379
4136Sundaram Capital Protection Oriented Fund - Series 1-5 Years - Growth31-JAN-1212.5506
4137Sundaram Capital Protection Oriented Fund - Series 2 - 2 Years - Dividend31-JAN-1210.3756
4138Sundaram Capital Protection Oriented Fund - Series 2 - 2 Years - Growth31-JAN-1210.3756
4139Sundaram Capital Protection Oriented Fund - Series 2 - 3 Years - Growth31-JAN-1210.5073
4140Sundaram Capital Protection Oriented Fund - Series 2 - 5 Years - Dividend31-JAN-1210.2080
4141Sundaram Capital Protection Oriented Fund - Series 2 - 5 Years - Growth31-JAN-1210.2081
4142Sundaram Capital Protection Oriented Fund - Series 3 - 2 Years - Dividend31-JAN-1210.2886
4143Sundaram Capital Protection Oriented Fund - Series 3 - 2 Years - Growth31-JAN-1210.2885
4144Sundaram Capital Protection Oriented Fund - Series 3 - 3 Years - Dividend31-JAN-1210.4535
4145Sundaram Capital Protection Oriented Fund - Series 3 - 3 Years - Growth31-JAN-1210.4513
4146Sundaram Capital Protection Oriented Fund - Series 3 - 5 Years - Dividend31-JAN-1210.2132
4147Sundaram Capital Protection Oriented Fund - Series 3 - 5 Years - Growth31-JAN-1210.2128
4148Sundaram Capital Protection Oriented Fund - Series 4 - 2 Years - Dividend31-JAN-1210.1221
4149Sundaram Capital Protection Oriented Fund - Series 4 - 2 Years - Growth31-JAN-1210.1222
4150Sundaram Capital Protection Oriented Fund - Series 4 - 3 Years - Dividend31-JAN-1210.3332
4151Sundaram Capital Protection Oriented Fund - Series 4 - 3 Years - Growth31-JAN-1210.3330
4152Sundaram Capital Protection Oriented Fund - Series 4 - 5 Years - Dividend31-JAN-1210.1142
4153Sundaram Capital Protection Oriented Fund - Series 4 - 5 Years - Growth31-JAN-1210.1142
4154Sundaram Capital Protection Oriented Fund - Series 5 - 3 Years - Dividend31-JAN-1210.2628
4155Sundaram Capital Protection Oriented Fund - Series 5 - 3 Years - Growth31-JAN-1210.2629
4156Sundaram Capital Protection Oriented Fund - Series 6 - 3 Years - Dividend31-JAN-1210.2395
4157Sundaram Capital Protection Oriented Fund - Series 6 - 3 Years - Growth31-JAN-1210.2392
4158Sundaram Capital Protection Oriented Fund - Series 7 - 3 Years - Dividend31-JAN-1210.0635
4159Sundaram Capital Protection Oriented Fund - Series 7 - 3 Years - Growth31-JAN-1210.0634
4160Sundaram Equity Multiplier Fund - Dividend31-JAN-1210.0245
4161Sundaram Equity Multiplier Fund - Growth31-JAN-1212.2947
4162Sundaram Equity Plus - Dividend31-JAN-1210.5873
4163Sundaram Equity Plus - Growth31-JAN-1210.5863
4164Sundaram FTP - Plan AD - Dividend27-JAN-1210.9399
4165Sundaram FTP - Plan AD - Growth30-JAN-1210.9492
4166Sundaram FTP - Plan AE - Dividend31-JAN-1210.8996
4167Sundaram FTP - Plan AE - Growth31-JAN-1210.8996
4168Sundaram FTP - Plan AF - Dividend31-JAN-1211.0251
4169Sundaram FTP - Plan AF - Growth31-JAN-1211.0251
4170Sundaram FTP - Plan AG - Dividend31-JAN-1210.9122
4171Sundaram FTP - Plan AG - Growth31-JAN-1210.9123
4172Sundaram FTP - Plan AH - Dividend31-JAN-1210.9929
4173Sundaram FTP - Plan AH - Growth31-JAN-1210.9929
4174Sundaram FTP - Plan AI - Dividend31-JAN-1210.9281
4175Sundaram FTP - Plan AI - Growth31-JAN-1210.9280
4176Sundaram FTP - Plan AJ - Dividend31-JAN-1210.8961
4177Sundaram FTP - Plan AJ - Growth31-JAN-1210.8961
4178Sundaram FTP - Plan AK - Dividend31-JAN-1210.8679
4179Sundaram FTP - Plan AK - Growth31-JAN-1210.8679
4180Sundaram FTP - Plan AL - Dividend31-JAN-1210.9154
4181Sundaram FTP - Plan AL - Growth31-JAN-1210.9154
4182Sundaram FTP - Plan AM - Dividend31-JAN-1210.9387
4183Sundaram FTP - Plan AM - Growth31-JAN-1210.9387
4184Sundaram FTP - Plan AT - Dividend31-JAN-1210.6929
4185Sundaram FTP - Plan AT - Growth31-JAN-1210.6929
4186Sundaram FTP - Plan AU - Dividend31-JAN-1210.6651
4187Sundaram FTP - Plan AU - Growth31-JAN-1210.6652
4188Sundaram FTP - Plan AX - Dividend31-JAN-1210.9432
4189Sundaram FTP - Plan AX - Growth31-JAN-1210.9432
4190Sundaram FTP - Plan AY - Dividend31-JAN-1210.7979
4191Sundaram FTP - Plan AY - Growth31-JAN-1210.7979
4192Sundaram FTP - Plan AZ - Dividend31-JAN-1210.7961
4193Sundaram FTP - Plan AZ - Growth31-JAN-1210.7961
4194Sundaram FTP - Plan BA - Dividend31-JAN-1210.8313
4195Sundaram FTP - Plan BA - Growth31-JAN-1210.8314
4196Sundaram FTP - Plan BB - Dividend31-JAN-1210.6746
4197Sundaram FTP - Plan BB - Growth31-JAN-1210.6746
4198Sundaram FTP - Plan BC - Dividend31-JAN-1210.5586
4199Sundaram FTP - Plan BC - Growth31-JAN-1210.5586
4200Sundaram FTP - Plan BD - Dividend31-JAN-1210.5188
4201Sundaram FTP - Plan BD - Growth31-JAN-1210.5188
4202Sundaram FTP - Plan BE - Dividend31-JAN-1210.5102
4203Sundaram FTP - Plan BE - Growth31-JAN-1210.5102
4204Sundaram FTP - Plan BF - Dividend31-JAN-1210.4280
4205Sundaram FTP - Plan BF - Growth31-JAN-1210.4280
4206Sundaram FTP - Plan BJ - Dividend31-JAN-1210.4456
4207Sundaram FTP - Plan BJ - Growth31-JAN-1210.4456
4208Sundaram FTP - Plan BK - Dividend31-JAN-1210.0747
4209Sundaram FTP - Plan BK - Growth31-JAN-1210.2560
4210Sundaram FTP - Plan BM - Dividend31-JAN-1210.2197
4211Sundaram FTP - Plan BM - Growth31-JAN-1210.2197
4212Sundaram FTP - Plan BN - Dividend31-JAN-1210.2304
4213Sundaram FTP - Plan BN - Growth31-JAN-1210.2304
4214Sundaram FTP - Plan BO - Dividend31-JAN-1210.3076
4215Sundaram FTP - Plan BO - Growth31-JAN-1210.3076
4216Sundaram FTP - Plan BP - Dividend31-JAN-1210.2084
4217Sundaram FTP - Plan BP - Growth31-JAN-1210.2085
4218Sundaram FTP - Plan BQ - Dividend31-JAN-1210.3019
4219Sundaram FTP - Plan BQ - Growth31-JAN-1210.3019
4220Sundaram FTP - Plan BR - Dividend31-JAN-1210.2696
4221Sundaram FTP - Plan BR - Growth31-JAN-1210.2696
4222Sundaram FTP - Plan CA - Dividend31-JAN-1210.1629
4223Sundaram FTP - Plan CA - Growth31-JAN-1210.1629
4224Sundaram FTP - Plan CB - Dividend31-JAN-1210.1309
4225Sundaram FTP - Plan CB - Growth31-JAN-1210.1309
4226Sundaram FTP - Plan CC - Dividend31-JAN-1210.1069
4227Sundaram FTP - Plan CC - Growth31-JAN-1210.1069
4228Sundaram FTP - Plan CD - Dividend31-JAN-1210.0894
4229Sundaram FTP - Plan CD - Growth31-JAN-1210.0894
4230Sundaram FTP - Plan CF - Dividend31-JAN-1210.1843
4231Sundaram FTP - Plan CF - Growth31-JAN-1210.1843
4232Sundaram FTP - Plan CG - Dividend31-JAN-1210.1138
4233Sundaram FTP - Plan CG - Growth31-JAN-1210.1199
4234Sundaram Fixed Income Interval Fund - Quarterly - A - Institutional - Dividend31-JAN-1210.1456
4235Sundaram Fixed Income Interval Fund - Quarterly - A - Institutional - Growth31-JAN-1213.6557
4236Sundaram Fixed Income Interval Fund - Quarterly - A - Retail - Dividend31-JAN-1210.1438
4237Sundaram Fixed Income Interval Fund - Quarterly - A - Retail - Growth31-JAN-1213.6686
4238Sundaram Fixed Income Interval Fund - Quarterly - B - Institutional - Dividend31-JAN-1210.1093
4239Sundaram Fixed Income Interval Fund - Quarterly - B - Institutional - Growth19-DEC-1113.6384
4240Sundaram Fixed Income Interval Fund - Quarterly - B - Retail - Dividend31-JAN-1210.1092
4241Sundaram Fixed Income Interval Fund - Quarterly - B - Retail - Growth31-JAN-1213.7852
4242Sundaram Fixed Income Interval Fund - Quarterly - C - Institutional - Dividend31-JAN-1210.0932
4243Sundaram Fixed Income Interval Fund - Quarterly - C - Institutional - Growth09-NOV-1112.9811
4244Sundaram Fixed Income Interval Fund - Quarterly - C - Retail - Dividend31-JAN-1210.0936
4245Sundaram Fixed Income Interval Fund - Quarterly - C - Retail - Growth31-JAN-1213.2528
4246Sundaram Fixed Income Interval Fund - Quarterly - D - Institutional - Dividend31-JAN-1210.0578
4247Sundaram Fixed Income Interval Fund - Quarterly - D - Institutional - Growth11-APR-1112.5231
4248Sundaram Fixed Income Interval Fund - Quarterly - D - Retail - Dividend31-JAN-1210.0555
4249Sundaram Fixed Income Interval Fund - Quarterly - D - Retail - Growth31-JAN-1213.4376
4250Sundaram Fixed Income Interval Fund - Quarterly - E - Institutional - Dividend31-JAN-1210.0906
4251Sundaram Fixed Income Interval Fund - Quarterly - E - Institutional - Growth31-JAN-1212.5633
4252Sundaram Fixed Income Interval Fund - Quarterly - E - Retail - Dividend31-JAN-1210.0906
4253Sundaram Fixed Income Interval Fund - Quarterly - E - Retail - Growth31-JAN-1212.5630
4254Sundaram Flexible Fund - Flexible Income Plan - Institutional - Growth19-APR-1016.2402
4255Sundaram Flexible Fund - Flexible Income Plan - Institutional - Monthly Dividend21-DEC-0910.5667
4256Sundaram Flexible Fund - Flexible Income Plan - Regular - Annual Dividend31-JAN-1211.7073
4257Sundaram Flexible Fund - Flexible Income Plan - Regular - Growth31-JAN-1215.1979
4258Sundaram Flexible Fund - Flexible Income Plan - Regular - Half Yearly Dividend31-JAN-1212.0846
4259Sundaram Flexible Fund - Flexible Income Plan - Regular - Monthly Dividend31-JAN-1210.3197
4260Sundaram Flexible Fund - Flexible Income Plan - Regular - Quarterly Dividend31-JAN-1212.3038
4261Sundaram Flexible Fund - STP - Institutional - Daily Dividend31-JAN-1210.0543
4262Sundaram Flexible Fund - STP - Institutional - Growth31-JAN-1216.6531
4263Sundaram Flexible Fund - STP - Institutional - Monthly Dividend31-JAN-1210.4381
4264Sundaram Flexible Fund - STP - Regular - Growth31-JAN-1215.8585
4265Sundaram Flexible Fund - STP - Regular - Monthly Dividend31-JAN-1210.3815
4266Sundaram Gilt Fund - Regular - Dividend31-JAN-1211.8871
4267Sundaram Gilt Fund - Regular - Growth31-JAN-1215.5521
4268Sundaram Global Advantage Fund - Dividend30-JAN-1211.6609
4269Sundaram Global Advantage Fund - Growth30-JAN-1211.6607
4270Sundaram Growth Fund - Institutional - Dividend31-JAN-1211.5458
4271Sundaram Growth Fund - Regular - Dividend31-JAN-1211.3452
4272Sundaram Growth Fund - Regular - Growth31-JAN-1283.9489
4273Sundaram Income Plus-Dividend31-JAN-1212.5907
4274Sundaram Income Plus-Growth31-JAN-1215.5095
4275Sundaram India Leadership Fund - Institutional - Dividend31-JAN-1213.7080
4276Sundaram India Leadership Fund - Institutional - Growth03-JAN-1236.0045
4277Sundaram India Leadership Fund - Regular - Dividend31-JAN-1212.0193
4278Sundaram India Leadership Fund - Regular - Growth31-JAN-1239.2046
4279Sundaram Money Fund - Daily Dividend31-JAN-1210.0953
4280Sundaram Money Fund - Fortnightly Dividend31-JAN-1210.5236
4281Sundaram Money Fund - Growth31-JAN-1221.1387
4282Sundaram Money Fund - Institutional Plan - Daily Dividend31-JAN-1210.0953
4283Sundaram Money Fund - Institutional Plan - Growth31-JAN-1221.8140
4284Sundaram Money Fund - Institutional Plan - Monthly Dividend31-JAN-1210.4418
4285Sundaram Money Fund - Institutional Plan - Quarterly Dividend29-JUL-1111.5214
4286Sundaram Money Fund - Institutional Plan - Weekly Dividend20-FEB-1110.7166
4287Sundaram Money Fund - Monthly Dividend31-JAN-1210.3780
4288Sundaram Money Fund - Quarterly Dividend31-JAN-1211.8294
4289Sundaram Money Fund - Super Institutional Plan - Daily Dividend31-JAN-1210.0953
4290Sundaram Money Fund - Super Institutional Plan - Growth31-JAN-1222.2595
4291Sundaram Money Fund - Super Institutional Plan - Monthly Dividend01-MAR-0710.1703
4292Sundaram Money Fund - Super Institutional Plan - Quarterly Dividend15-NOV-0911.0661
4293Sundaram Money Fund - Super Institutional Plan - Weekly Dividend31-JAN-1210.8386
4294Sundaram Money Fund - Weekly Dividend31-JAN-1210.8207
4295Sundaram Monthly Income Plan - Aggressive Plan - Growth31-JAN-1210.5203
4296Sundaram Monthly Income Plan - Aggressive Plan - Half Yearly Dividend31-JAN-1210.5383
4297Sundaram Monthly Income Plan - Aggressive Plan - Monthly Dividend31-JAN-1210.0696
4298Sundaram Monthly Income Plan - Aggressive Plan - Quarterly Dividend31-JAN-1210.4622
4299Sundaram Monthly Income Plan - Conservative Plan - Growth31-JAN-1210.8046
4300Sundaram Monthly Income Plan - Conservative Plan - Half Yearly Dividend31-JAN-1210.8211
4301Sundaram Monthly Income Plan - Conservative Plan - Monthly Dividend31-JAN-1210.3008
4302Sundaram Monthly Income Plan - Conservative Plan - Quarterly Dividend31-JAN-1210.7600
4303Sundaram Monthly Income Plan - Moderate Plan - Growth31-JAN-1215.4897
4304Sundaram Monthly Income Plan - Moderate Plan - Half Yearly Dividend31-JAN-1211.2374
4305Sundaram Monthly Income Plan - Moderate Plan - Monthly Dividend31-JAN-1210.3635
4306Sundaram Monthly Income Plan - Moderate Plan - Quarterly Dividend31-JAN-1211.1742
4307Sundaram SMILE Fund - Institutional - Dividend31-JAN-12 9.6657
4308Sundaram SMILE Fund - Institutional - Growth31-JAN-1227.0801
4309Sundaram SMILE Fund - Regular - Dividend31-JAN-12 9.5398
4310Sundaram SMILE Fund - Regular - Growth31-JAN-1226.7045
4311Sundaram Select Debt - Short-Term Asset Plan - Annual31-JAN-1212.9051
4312Sundaram Select Debt - Short-Term Asset Plan - Fortnighty Dividend31-JAN-1212.4755
4313Sundaram Select Debt - Short-Term Asset Plan - Growth31-JAN-1217.7846
4314Sundaram Select Debt - Short-Term Asset Plan - Half Yearly31-JAN-1212.8538
4315Sundaram Select Debt - Short-Term Asset Plan - Monthly Dividend31-JAN-1211.7518
4316Sundaram Select Debt - Short-Term Asset Plan - Quarterly31-JAN-1213.2560
4317Sundaram Select Debt - Short-Term Asset Plan - Weekly31-JAN-1212.1812
4318Sundaram Select Focus - Institutional - Dividend31-JAN-12 8.8405
4319Sundaram Select Focus - Institutional - Growth31-JAN-1282.7016
4320Sundaram Select Focus - Regular - Dividend31-JAN-12 8.7909
4321Sundaram Select Focus - Regular - Growth31-JAN-1281.2369
4322Sundaram Select Midcap - Institutional - Dividend31-JAN-1214.5028
4323Sundaram Select Midcap - Institutional - Growth31-JAN-12141.0052
4324Sundaram Select Midcap - Regular - Dividend31-JAN-1215.5910
4325Sundaram Select Midcap - Regular - Growth31-JAN-12137.7092
4326Sundaram Select Small Cap - Dividend31-JAN-1211.1492
4327Sundaram Select Small Cap - Growth31-JAN-1211.9732
4328Sundaram Select Thematic Funds Energy Opportunities - Dividend31-JAN-12 7.3179
4329Sundaram Select Thematic Funds Energy Opportunities - Growth31-JAN-12 7.3186
4330Sundaram Select Thematic Funds Financial Services Opportunities - Institutional - Dividend31-JAN-1211.3316
4331Sundaram Select Thematic Funds Financial Services Opportunities - Institutional - Growth31-JAN-1217.7412
4332Sundaram Select Thematic Funds Financial Services Opportunities - Regular - Dividend31-JAN-1211.1924
4333Sundaram Select Thematic Funds Financial Services Opportunities - Regular - Growth31-JAN-1217.4696
4334Sundaram Select Thematic Funds Media and Entertainment Opportunities - Institutional - Dividend16-JUL-0810.0000
4335Sundaram Select Thematic Funds Media and Entertainment Opportunities - Institutional - Growth31-JAN-1211.3408
4336Sundaram Select Thematic Funds Media and Entertainment Opportunities - Regular - Dividend31-JAN-12 8.8383
4337Sundaram Select Thematic Funds Media and Entertainment Opportunities - Regular - Growth31-JAN-1211.1971
4338Sundaram Select Thematic Funds PSU Opportunities - Dividend31-JAN-12 8.8591
4339Sundaram Select Thematic Funds PSU Opportunities - Growth31-JAN-12 9.7283
4340Sundaram Select Thematic Funds Rural India Fund - Institutional - Dividend31-JAN-1214.2448
4341Sundaram Select Thematic Funds Rural India Fund - Regular - Dividend31-JAN-1210.0121
4342Sundaram Select Thematic Funds Rural India Fund - Regular - Growth31-JAN-1213.8378
4343Sundaram Taxsaver - Dividend31-JAN-12 9.4887
4344Sundaram Taxsaver - Growth31-JAN-1240.2357
4345Sundaram Ultra Short Term Fund Institutional - Daily Dividend31-JAN-1210.0370
4346Sundaram Ultra Short Term Fund Institutional - Fortnightly Dividend24-JAN-1210.5165
4347Sundaram Ultra Short Term Fund Institutional - Growth31-JAN-1214.0986
4348Sundaram Ultra Short Term Fund Institutional - Monthly Dividend31-JAN-1210.4910
4349Sundaram Ultra Short Term Fund Institutional - Quarterly Dividend10-MAY-1010.6985
4350Sundaram Ultra Short Term Fund Institutional - Weekly Dividend31-JAN-1210.8341
4351Sundaram Ultra Short Term Fund Regular - Daily Dividend31-JAN-1210.0370
4352Sundaram Ultra Short Term Fund Regular - Fortnightly Dividend31-JAN-1210.4914
4353Sundaram Ultra Short Term Fund Regular - Growth31-JAN-1213.7126
4354Sundaram Ultra Short Term Fund Regular - Monthly Dividend31-JAN-1210.4280
4355Sundaram Ultra Short Term Fund Regular - Quarterly Dividend31-JAN-1210.3499
4356Sundaram Ultra Short Term Fund Regular - Weekly Dividend31-JAN-1210.7834
4357Sundaram Ultra Short Term Fund Super Institutional - Daily Dividend31-JAN-1210.0370
4358Sundaram Ultra Short Term Fund Super Institutional - Growth31-JAN-1214.3211
4359Sundaram Ultra Short Term Fund Super Institutional - Weekly Dividend31-JAN-1210.8348
4360Tata Balanced Fund - Appreciation31-JAN-1280.9814
4361Tata Balanced Fund - Dividend31-JAN-1251.0787
4362Tata Balanced Fund - Monthly Dividend31-JAN-1242.7765
4363Tata Capital Builder Fund - Dividend31-JAN-1212.3280
4364Tata Capital Builder Fund - Growth31-JAN-1213.2039
4365Tata Contra Fund - Dividend31-JAN-1214.8413
4366Tata Contra Fund - Growth31-JAN-1216.8679
4367Tata Dividend Yield Fund - Dividend31-JAN-1217.4612
4368Tata Dividend Yield Fund - Growth31-JAN-1232.0598
4369Tata Dynamic Bond Fund A - Appreciation31-JAN-1215.6443
4370Tata Dynamic Bond Fund A - Dividend30-JAN-1211.7344
4371Tata Dynamic Bond Fund B - Appreciation31-JAN-1215.6525
4372Tata Dynamic Bond Fund B - Dividend31-JAN-1210.6224
4373Tata Equity Management Fund - Dividend31-JAN-1211.6904
4374Tata Equity Management Fund - Growth31-JAN-1213.5264
4375Tata Equity Opportunities Fund - Appreciation31-JAN-1273.6308
4376Tata Equity Opportunities Fund - Dividend31-JAN-1218.8809
4377Tata Equity P/E Fund (Dividend Trigger Option A - 5%)31-JAN-1227.8583
4378Tata Equity P/E Fund (Dividend Trigger Option B - 10%)31-JAN-1231.6248
4379Tata Equity P/E Fund - Growth31-JAN-1243.5912
4380Tata Ethical Fund - Dividend31-JAN-1240.2196
4381Tata Ethical Fund - Growth31-JAN-1262.2581
4382Tata FMP - Series 30 - Scheme A - Growth30-JAN-1210.9752
4383Tata FMP - Series 30 - Scheme A - Periodic Dividend30-JAN-1210.4947
4384Tata FMP - Series 30 - Scheme C - Growth31-JAN-1210.7407
4385Tata FMP - Series 30 - Scheme C - Periodic Dividend31-JAN-1210.6614
4386Tata FMP - Series 31 - Scheme A - Growth31-JAN-1210.9082
4387Tata FMP - Series 31 - Scheme A - Periodic Dividend31-JAN-1210.6553
4388Tata FMP - Series 31 - Scheme B - Growth31-JAN-1210.8980
4389Tata FMP - Series 31 - Scheme B - Periodic Dividend31-JAN-1210.6809
4390Tata FMP - Series 31 - Scheme C - Growth31-JAN-1210.8587
4391Tata FMP - Series 31 - Scheme C - Periodic Dividend31-JAN-1210.6829
4392Tata FMP - Series 32 - Growth31-JAN-1210.5189
4393Tata FMP - Series 32 - Periodic Dividend31-JAN-1210.5189
4394Tata FMP - Series 33 - Scheme C - Growth31-JAN-1210.6825
4395Tata FMP - Series 33 - Scheme C - Periodic Dividend31-JAN-1210.6825
4396Tata FMP - Series 34 - Scheme B - Growth31-JAN-1210.6647
4397Tata FMP - Series 34 - Scheme B - Periodic Dividend31-JAN-1210.6647
4398Tata FMP - Series 34 - Scheme C - Growth31-JAN-1210.6765
4399Tata FMP - Series 34 - Scheme C - Periodic Dividend31-JAN-1210.6765
4400Tata FMP - Series 35 - Scheme A - Growth31-JAN-1210.6694
4401Tata FMP - Series 35 - Scheme A - Periodic Dividend31-JAN-1210.6694
4402Tata FMP - Series 35 - Scheme B - Growth31-JAN-1210.6043
4403Tata FMP - Series 35 - Scheme B - Periodic Dividend31-JAN-1210.6043
4404Tata FMP - Series 35 - Scheme C - Growth31-JAN-1210.5422
4405Tata FMP - Series 35 - Scheme C - Periodic Dividend31-JAN-1210.5422
4406Tata FMP - Series 36 - Scheme A - Growth31-JAN-1210.5443
4407Tata FMP - Series 36 - Scheme A - Periodic Dividend31-JAN-1210.5444
4408Tata FMP - Series 36 - Scheme B - Growth31-JAN-1210.3783
4409Tata FMP - Series 36 - Scheme B - Periodic Dividend31-JAN-1210.3783
4410Tata FMP - Series 36 - Scheme C - Growth31-JAN-1210.3304
4411Tata FMP - Series 36 - Scheme C - Periodic Dividend31-JAN-1210.3304
4412Tata FMP - Series 37 - Scheme A - Growth31-JAN-1210.3051
4413Tata FMP - Series 37 - Scheme A - Periodic Dividend31-JAN-1210.3051
4414Tata FMP - Series 37 - Scheme B - Growth31-JAN-1210.2349
4415Tata FMP - Series 37 - Scheme B - Periodic Dividend31-JAN-1210.2349
4416Tata FMP - Series 37 - Scheme C - Growth31-JAN-1210.1910
4417Tata FMP - Series 37 - Scheme C - Periodic Dividend31-JAN-1210.1910
4418Tata FMP - Series 37 - Scheme D - Growth31-JAN-1210.1401
4419Tata FMP - Series 37 - Scheme D - Periodic Dividend31-JAN-1210.1402
4420Tata FMP - Series 37 - Scheme E - Growth31-JAN-1210.1379
4421Tata FMP - Series 37 - Scheme E - Periodic Dividend31-JAN-1210.1379
4422Tata FMP - Series 38 - Scheme A - Growth31-JAN-1210.3796
4423Tata FMP - Series 38 - Scheme A - Periodic Dividend31-JAN-1210.3796
4424Tata FMP - Series 38 - Scheme B - Growth31-JAN-1210.1724
4425Tata FMP - Series 38 - Scheme B - Periodic Dividend31-JAN-1210.1723
4426Tata FMP - Series 38 - Scheme C - Growth31-JAN-1210.1063
4427Tata FMP - Series 38 - Scheme C - Periodic Dividend31-JAN-1210.1063
4428Tata FMP - Series 38 - Scheme D - Growth31-JAN-1210.0975
4429Tata FMP - Series 38 - Scheme D - Periodic Dividend31-JAN-1210.0976
4430Tata FMP - Series 38 - Scheme E - Growth31-JAN-1210.2915
4431Tata FMP - Series 38 - Scheme E - Periodic Dividend31-JAN-1210.2915
4432Tata FMP - Series 38 - Scheme F - Growth31-JAN-1210.1185
4433Tata FMP - Series 38 - Scheme F - Periodic Dividend31-JAN-1210.1185
4434Tata FMP - Series 38 - Scheme G - Growth31-JAN-1210.0701
4435Tata FMP - Series 38 - Scheme G - Periodic Dividend31-JAN-1210.0700
4436Tata FMP - Series 38 - Scheme H - Growth31-JAN-1210.0649
4437Tata FMP - Series 38 - Scheme H - Periodic Dividend31-JAN-1210.0650
4438Tata FMP - Series 38 - Scheme I - Growth31-JAN-1210.0312
4439Tata FMP - Series 38 - Scheme I - Periodic Dividend31-JAN-1210.0312
4440Tata Fixed Income Portfolio Fund Scheme A1 - Institutional - Growth31-OCT-0810.1257
4441Tata Fixed Income Portfolio Fund Scheme A1 - Institutional - Monthly Dividend31-OCT-0810.1261
4442Tata Fixed Income Portfolio Fund Scheme A1 - Regular - Growth27-JAN-1212.0238
4443Tata Fixed Income Portfolio Fund Scheme A1 - Regular - Monthly Dividend31-JAN-1210.1684
4444Tata Fixed Income Portfolio Fund Scheme A2 - Institutional - Growth06-APR-1110.0882
4445Tata Fixed Income Portfolio Fund Scheme A2 - Institutional - Monthly Dividend31-JAN-1210.0688
4446Tata Fixed Income Portfolio Fund Scheme A2 - Regular - Growth31-JAN-1213.1107
4447Tata Fixed Income Portfolio Fund Scheme A2 - Regular - Monthly Dividend31-JAN-1210.1896
4448Tata Fixed Income Portfolio Fund Scheme A3 - Institutional - Growth31-JAN-1211.4753
4449Tata Fixed Income Portfolio Fund Scheme A3 - Institutional - Monthly Dividend31-JAN-1210.0370
4450Tata Fixed Income Portfolio Fund Scheme A3 - Regular - Growth31-JAN-1212.7311
4451Tata Fixed Income Portfolio Fund Scheme A3 - Regular - Monthly Dividend31-JAN-1210.2928
4452Tata Fixed Income Portfolio Fund Scheme B2 - Institutional - Growth31-JAN-1210.9070
4453Tata Fixed Income Portfolio Fund Scheme B2 - Institutional - Monthly Dividend31-JAN-1210.0156
4454Tata Fixed Income Portfolio Fund Scheme B2 - Institutional - Quarterly Dividend31-JAN-1210.1686
4455Tata Fixed Income Portfolio Fund Scheme B2 - Regular - Growth31-JAN-1213.3477
4456Tata Fixed Income Portfolio Fund Scheme B2 - Regular - Monthly Dividend31-JAN-1210.0829
4457Tata Fixed Income Portfolio Fund Scheme B2 - Regular - Quarterly Dividend31-JAN-1210.1955
4458Tata Fixed Income Portfolio Fund Scheme B3 - Institutional - Growth31-JAN-1211.2597
4459Tata Fixed Income Portfolio Fund Scheme B3 - Institutional - Monthly Dividend29-JUN-1110.0034
4460Tata Fixed Income Portfolio Fund Scheme B3 - Institutional - Quarterly Dividend31-JAN-1210.0809
4461Tata Fixed Income Portfolio Fund Scheme B3 - Regular - Growth31-JAN-1214.2761
4462Tata Fixed Income Portfolio Fund Scheme B3 - Regular - Monthly Dividend31-JAN-1210.0059
4463Tata Fixed Income Portfolio Fund Scheme B3 - Regular - Quarterly Dividend31-JAN-1210.2826
4464Tata Fixed Income Portfolio Fund Scheme C2 - Institutional - Growth31-JAN-1210.7036
4465Tata Fixed Income Portfolio Fund Scheme C2 - Institutional - Half Yearly Dividend31-JAN-1210.2940
4466Tata Fixed Income Portfolio Fund Scheme C2 - Institutional - Monthly Dividend31-JAN-1210.0031
4467Tata Fixed Income Portfolio Fund Scheme C2 - Regular - Growth31-JAN-1212.5862
4468Tata Fixed Income Portfolio Fund Scheme C2 - Regular - Half Yearly Dividend31-JAN-1210.2994
4469Tata Fixed Income Portfolio Fund Scheme C2 - Regular - Monthly Dividend31-JAN-1210.0906
4470Tata Fixed Income Portfolio Fund Scheme C3 - Institutional - Growth31-JAN-1210.6438
4471Tata Fixed Income Portfolio Fund Scheme C3 - Institutional - Half Yearly Dividend31-JAN-1210.1541
4472Tata Fixed Income Portfolio Fund Scheme C3 - Institutional - Monthly Dividend24-NOV-1010.0130
4473Tata Fixed Income Portfolio Fund Scheme C3 - Regular - Growth31-JAN-1213.8679
4474Tata Fixed Income Portfolio Fund Scheme C3 - Regular - Half Yearly Dividend31-JAN-1210.4061
4475Tata Fixed Income Portfolio Fund Scheme C3 - Regular - Monthly Dividend31-JAN-1210.2299
4476Tata Fixed Tenure Fund Series 1 - Dividend31-JAN-1210.4184
4477Tata Fixed Tenure Fund Series 1 - Growth31-JAN-1210.4184
4478Tata Fixed Tenure Fund Series 2 - Scheme A - Dividend31-JAN-1210.5610
4479Tata Fixed Tenure Fund Series 2 - Scheme A - Growth31-JAN-1210.5610
4480Tata Fixed Tenure Fund Series 2 - Scheme B - Dividend31-JAN-1210.4403
4481Tata Fixed Tenure Fund Series 2 - Scheme B - Growth31-JAN-1210.4400
4482Tata Floater Fund - Daily Dividend31-JAN-1210.0356
4483Tata Floater Fund - Growth31-JAN-1215.8158
4484Tata Floater Fund - Periodic Dividend31-JAN-1210.0354
4485Tata Floater Fund - Weekly Dividend31-JAN-1210.0807
4486Tata Floating Rate Fund - Long Term Fund - Dividend30-JAN-1211.8334
4487Tata Floating Rate Fund - Long Term Fund - Growth31-JAN-1215.3689
4488Tata Gilt High Fund - Appreciation31-JAN-1218.3651
4489Tata Gilt High Fund - Regular Option31-JAN-1212.4804
4490Tata Gilt Mid Term Fund - Growth31-JAN-1210.9984
4491Tata Gilt Mid Term Fund - Periodic Dividend31-JAN-1211.0193
4492Tata Gilt Mid Term Fund - Quarterly Dividend31-JAN-1211.0018
4493Tata Gilt Retirement Series Feb 13 - Dividend31-JAN-1213.8113
4494Tata Gilt Retirement Series Feb 13 - Growth30-JAN-1213.7014
4495Tata Gilt Retirement Series Feb 15 - Growth10-DEC-0812.5132
4496Tata Gilt Retirement Series Feb 16 - Growth29-MAR-1112.8863
4497Tata Gilt Retirement Series Feb 25 - Dividend31-JAN-1213.5025
4498Tata Gilt Retirement Series Feb 25 - Growth31-JAN-1213.5342
4499Tata Gilt Securities Fund - Appreciation Option31-JAN-1229.8620
4500Tata Gilt Securities Fund - Regular Income Option31-JAN-1212.0446
4501Tata Gilt Securities Fund - Regular Income Option - Bonus31-JAN-1214.9764
4502Tata Gilt Securities Short Maturity Fund - Dividend31-JAN-1211.1369
4503Tata Gilt Securities Short Maturity Fund - Growth31-JAN-1216.5929
4504Tata Growing Economies Infrastructure Fund - Plan A - Dividend31-JAN-1211.5062
4505Tata Growing Economies Infrastructure Fund - Plan A - Growth31-JAN-1211.5083
4506Tata Growing Economies Infrastructure Fund - Plan B - Dividend31-JAN-1210.5530
4507Tata Growing Economies Infrastructure Fund - Plan B - Growth31-JAN-1210.5538
4508Tata Growth Fund - Bonus31-JAN-1235.6365
4509Tata Growth Fund - Dividend31-JAN-1215.6857
4510Tata Growth Fund - Growth31-JAN-1239.2148
4511Tata Income Fund - Appreciation31-JAN-1231.6947
4512Tata Income Fund - Appreciation Bonus Option31-JAN-1215.8632
4513Tata Income Fund - Half Yearly Dividend31-JAN-1211.4505
4514Tata Income Fund - Quarterly Dividend31-JAN-1210.3800
4515Tata Income Fund-Appreciation-Dividend31-JAN-1218.3754
4516Tata Income Plus Fund - A - Dividend31-JAN-1211.5579
4517Tata Income Plus Fund - A - Growth31-JAN-1216.4211
4518Tata Income Plus Fund - B - Dividend31-JAN-1211.5733
4519Tata Income Plus Fund - B - Growth31-JAN-1216.4659
4520Tata Index Fund - Nifty Plan - A31-JAN-1230.9582
4521Tata Index Fund - Sensex Plan - A31-JAN-1241.7027
4522Tata Index Fund - Sensex Plan - B31-JAN-1213.6868
4523Tata Indo Global Infrastructure Fund - Dividend31-JAN-12 6.8780
4524Tata Indo Global Infrastructure Fund - Growth31-JAN-12 6.8736
4525Tata Infrastructure Fund - Dividend31-JAN-1217.9793
4526Tata Infrastructure Fund - Growth31-JAN-1227.2829
4527Tata Infrastructure Tax Saving Fund - Dividend31-JAN-1212.4059
4528Tata Infrastructure Tax Saving Fund - Growth31-JAN-1213.1087
4529Tata Life Sciences and Technology Fund - Dividend31-JAN-1232.8053
4530Tata Life Sciences and Technology Fund - Growth31-JAN-1265.2734
4531Tata Liquid High Investment Fund - Daily Dividend31-JAN-121114.3379
4532Tata Liquid High Investment Fund - Growth30-JAN-121741.1557
4533Tata Liquid High Investment Fund - Monthly Dividend31-JAN-121019.5681
4534Tata Liquid High Investment Fund - Weekly Dividend31-JAN-121146.5173
4535Tata Liquid Regular Investment Plan - Appreciation31-JAN-122401.3389
4536Tata Liquid Regular Investment Plan - Daily Dividend31-JAN-121116.8143
4537Tata Liquid Regular Investment Plan - Fortnightly Dividend31-JAN-121144.9739
4538Tata Liquid Super High Investment Plan - Daily Dividend31-JAN-121114.5200
4539Tata Liquid Super High Investment Plan - Growth31-JAN-121949.5448
4540Tata Liquid Super High Investment Plan - Monthly Dividend15-JAN-121007.6928
4541Tata Liquid Super High Investment Plan - Weekly Dividend30-JAN-121001.6492
4542Tata Liquidity Management Fund - Daily Dividend31-JAN-121002.6089
4543Tata Liquidity Management Fund - Growth31-JAN-121420.6197
4544Tata Liquidity Management Fund - Weekly Dividend31-JAN-121005.5037
4545Tata MIP Plus Fund - Growth31-JAN-1216.7384
4546Tata MIP Plus Fund - Half Yearly Dividend31-JAN-1212.0284
4547Tata MIP Plus Fund - Monthly Dividend31-JAN-1211.0850
4548Tata MIP Plus Fund - Quarterly Dividend31-JAN-1211.1291
4549Tata Mid Cap Fund - Dividend31-JAN-1213.2973
4550Tata Mid Cap Fund - Growth31-JAN-1215.4896
4551Tata Money Market Fund - Dividend31-JAN-1210.1488
4552Tata Money Market Fund - Growth31-JAN-1216.8023
4553Tata Money Market Fund - Institutional Plan - Daily Dividend31-JAN-1210.0152
4554Tata Money Market Fund - Institutional Plan - Growth31-JAN-1216.5744
4555Tata Monthly Income Fund - Appreciation31-JAN-1219.5589
4556Tata Monthly Income Fund - Monthly Dividend31-JAN-1212.1243
4557Tata Monthly Income Fund - Quarterly Dividend31-JAN-1212.3234
4558Tata Pure Equity Fund - Dividend31-JAN-1234.3729
4559Tata Pure Equity Fund - Growth31-JAN-1291.3544
4560Tata Retirement Savings Fund - Conservative Plan - Growth31-JAN-1210.2793
4561Tata Retirement Savings Fund - Moderate Plan - Growth31-JAN-1210.4472
4562Tata Retirement Savings Fund - Progresive Plan - Growth31-JAN-1210.5176
4563Tata SIP Fund - Series 3 - Dividend31-JAN-1210.2805
4564Tata SIP Fund - Series 3 - Growth31-JAN-1210.2804
4565Tata Service Industries Fund - Dividend31-JAN-1215.3909
4566Tata Service Industries Fund - Growth31-JAN-1220.6345
4567Tata Short Term Bond Fund - Dividend31-JAN-1212.4285
4568Tata Short Term Bond Fund - Growth31-JAN-1219.4467
4569Tata Smart Investment Plan - 1 - Scheme A - Dividend31-JAN-1210.1118
4570Tata Smart Investment Plan - 1 - Scheme A - Growth31-JAN-1210.1116
4571Tata Smart Investment Plan - 1 - Scheme B - Dividend31-JAN-12 9.8056
4572Tata Smart Investment Plan - 1 - Scheme B - Growth31-JAN-12 9.8056
4573Tata Tax Advantage Fund - 131-JAN-1215.4577
4574Tata Tax Saving Fund31-JAN-1241.8138
4575Tata Treasury Manager Fund - HIP - Daily Dividend31-JAN-121009.4394
4576Tata Treasury Manager Fund - HIP - Growth31-JAN-121402.6333
4577Tata Treasury Manager Fund - HIP - Monthly Dividend31-JAN-121001.5000
4578Tata Treasury Manager Fund - HIP - Weekly Dividend31-JAN-121010.7348
4579Tata Treasury Manager Fund - RIP - Daily Dividend31-JAN-121004.3466
4580Tata Treasury Manager Fund - RIP - Growth31-JAN-121397.0902
4581Tata Treasury Manager Fund - RIP - Monthly Dividend31-JAN-121002.0000
4582Tata Treasury Manager Fund - SHIP - Daily Dividend31-JAN-121010.3171
4583Tata Treasury Manager Fund - SHIP - Growth31-JAN-121205.8565
4584Tata Treasury Manager Fund - SHIP - Monthly Dividend31-JAN-121000.3156
4585Tata Treasury Manager Fund - SHIP - Weekly Dividend31-JAN-121000.3661
4586Tata Young Citizens Fund31-JAN-1212.8643
4587Tata Young Citizens Fund (> 3 Years upto 7 Years)31-JAN-1212.8643
4588Tata Young Citizens Fund (Upto 3 Years)31-JAN-1212.8643
4589Taurus Bonanza Fund - Dividend31-JAN-1237.9900
4590Taurus Bonanza Fund - Growth31-JAN-1237.9900
4591Taurus Discovery Fund - Dividend31-JAN-1212.7100
4592Taurus Discovery Fund - Growth31-JAN-1212.7100
4593Taurus Dynamic Income Fund - Dividend31-JAN-1210.4151
4594Taurus Dynamic Income Fund - Growth31-JAN-1210.9907
4595Taurus Ethical Fund - Bonus31-JAN-1221.7800
4596Taurus Ethical Fund - Dividend31-JAN-1214.7100
4597Taurus Ethical Fund - Growth31-JAN-1221.7800
4598Taurus Fixed Maturity Plan - 367 Days Series - C - Dividend31-JAN-1210.8474
4599Taurus Fixed Maturity Plan - 367 Days Series - C - Growth31-JAN-1210.8474
4600Taurus Fixed Maturity Plan - 370 Days Series - D - Dividend31-JAN-1210.8778
4601Taurus Fixed Maturity Plan - 370 Days Series - D - Growth31-JAN-1210.8778
4602Taurus Fixed Maturity Plan - 370 Days Series - G - Dividend31-JAN-1210.5726
4603Taurus Fixed Maturity Plan - 370 Days Series - G - Growth31-JAN-1210.5726
4604Taurus Fixed Maturity Plan - 91 Days Series - K - Dividend31-JAN-1210.1087
4605Taurus Fixed Maturity Plan - 91 Days Series - K - Growth31-JAN-1210.1087
4606Taurus Fixed Maturity Plan - 91 Days Series - L - Dividend31-JAN-1210.0911
4607Taurus Fixed Maturity Plan - 91 Days Series - L - Growth31-JAN-1210.0911
4608Taurus Gilt Fund - Dividend31-JAN-1215.1411
4609Taurus Gilt Fund - Growth31-JAN-1215.4690
4610Taurus Infrastructure Fund - Dividend31-JAN-1210.5700
4611Taurus Infrastructure Fund - Growth31-JAN-1211.2700
4612Taurus Liquid Fund - Dividend31-JAN-121001.2175
4613Taurus Liquid Fund - Growth31-JAN-121384.2929
4614Taurus Liquid Fund - Institutional - Daily Dividend31-JAN-121000.0905
4615Taurus Liquid Fund - Institutional - Growth31-JAN-121160.0326
4616Taurus Liquid Fund - Super Institutional - Daily Dividend31-JAN-121000.0905
4617Taurus Liquid Fund - Super Institutional - Growth31-JAN-121137.8266
4618Taurus Liquid Fund - Super Institutional - Weekly Dividend31-JAN-121001.2956
4619Taurus MIP Advantage - Growth31-JAN-1211.1776
4620Taurus MIP Advantage - Monthly Dividend31-JAN-1210.5072
4621Taurus Nifty Index Fund - Dividend31-JAN-12 9.7082
4622Taurus Nifty Index Fund - Growth31-JAN-12 9.7030
4623Taurus Quarterly Interval Fund - Series - 2 - Dividend31-JAN-1210.1430
4624Taurus Quarterly Interval Fund - Series - 2 - Growth31-JAN-1210.1430
4625Taurus Short Term Income Fund - Dividend31-JAN-121530.3054
4626Taurus Short Term Income Fund - Growth31-JAN-121809.7904
4627Taurus Starshare31-JAN-1252.5600
4628Taurus Starshare - Dividend31-JAN-1237.0000
4629Taurus Taxshield - Dividend31-JAN-1215.1500
4630Taurus Taxshield - Growth31-JAN-1232.3400
4631Taurus Ultra Short Term Bond Fund - Institutional - Daily Dividend31-JAN-121001.7367
4632Taurus Ultra Short Term Bond Fund - Institutional - Growth31-JAN-121242.4404
4633Taurus Ultra Short Term Bond Fund - Institutional - Weekly Dividend31-JAN-121002.4052
4634Taurus Ultra Short Term Bond Fund - Retail - Daily Dividend31-JAN-121001.7360
4635Taurus Ultra Short Term Bond Fund - Retail - Growth31-JAN-121234.3524
4636Taurus Ultra Short Term Bond Fund - Retail - Weekly Dividend31-JAN-121002.4004
4637Taurus Ultra Short Term Bond Fund - Super Institutional - Daily Dividend31-JAN-121001.7390
4638Taurus Ultra Short Term Bond Fund - Super Institutional - Growth31-JAN-121248.3360
4639Taurus Ultra Short Term Bond Fund - Super Institutional - Weekly Dividend31-JAN-121002.0355
4640Templeton Floating Rate Income Fund - Institutional - Dividend30-JAN-1210.3426
4641Templeton Floating Rate Income Fund - Institutional - Growth31-JAN-1216.0355
4642Templeton Floating Rate Income Fund - Retail - Dividend31-JAN-1210.8773
4643Templeton Floating Rate Income Fund - Retail - Growth31-JAN-1219.2449
4644Templeton Floating Rate Income Fund - Super Institutional - Daily Dividend31-JAN-1210.0206
4645Templeton Floating Rate Income Fund - Super Institutional - Growth31-JAN-1214.5820
4646Templeton Floating Rate Income Fund - Super Institutional - Weekly Dividend26-MAR-0910.5414
4647Templeton India Cash Management Account - Dividend31-JAN-1210.0002
4648Templeton India Cash Management Account - Growth31-JAN-1217.6063
4649Templeton India Children`s Asset Plan - Education Plan31-JAN-1233.4607
4650Templeton India Children`s Asset Plan - Gift - Dividend31-JAN-1243.4477
4651Templeton India Children`s Asset Plan - Gift - Growth31-JAN-1243.4477
4652Templeton India Corporate Bond Opportunities Fund - Dividend31-JAN-1210.2869
4653Templeton India Corporate Bond Opportunities Fund - Growth31-JAN-1210.2869
4654Templeton India Equity Income Fund - Dividend31-JAN-1212.7296
4655Templeton India Equity Income Fund - Growth31-JAN-1218.9807
4656Templeton India Govt.Sec.Fund - Composite Plan - Dividend31-JAN-1210.6852
4657Templeton India Govt.Sec.Fund - Composite Plan - Growth31-JAN-1235.8243
4658Templeton India Govt.Sec.Fund - Long Term Plan - Bonus31-JAN-1210.7249
4659Templeton India Govt.Sec.Fund - Long Term Plan - Growth31-JAN-1224.9299
4660Templeton India Govt.Sec.Fund - Long Term Plan - Quarterly Dividend31-JAN-1210.6650
4661Templeton India Govt.Sec.Fund - P F Plan - Dividend31-JAN-1215.7349
4662Templeton India Govt.Sec.Fund - P F Plan - Growth31-JAN-1215.7349
4663Templeton India Govt.Sec.Fund-Treasury-Dividend31-JAN-1211.0006
4664Templeton India Govt.Sec.Fund-Treasury-Growth31-JAN-1217.9061
4665Templeton India Growth Fund - Growth31-JAN-12107.6951
4666Templeton India Growth Fund-Dividend31-JAN-1245.0666
4667Templeton India Income Builder Account - Plan A - Annual31-JAN-1212.4222
4668Templeton India Income Builder Account - Plan A - Bonus31-JAN-1216.1344
4669Templeton India Income Builder Account - Plan A - Growth31-JAN-1235.0489
4670Templeton India Income Builder Account - Plan A - Half Yearly Dividend31-JAN-1212.3043
4671Templeton India Income Builder Account - Plan A - Monthly Dividend31-JAN-1213.2250
4672Templeton India Income Builder Account - Plan A - Quarterly Dividend31-JAN-1212.3667
4673Templeton India Income Builder Account - Plan B - Annual31-JAN-1212.4222
4674Templeton India Income Builder Account - Plan B - Bonus31-JAN-1216.1344
4675Templeton India Income Builder Account - Plan B - Growth31-JAN-1235.0489
4676Templeton India Income Builder Account - Plan B - Half Yearly Dividend30-JAN-1212.2977
4677Templeton India Income Builder Account - Plan B - Monthly Dividend31-JAN-1213.2250
4678Templeton India Income Builder Account - Plan B - Quarterly Dividend31-JAN-1212.3667
4679Templeton India Income Fund-Dividend31-JAN-1210.9496
4680Templeton India Income Fund-Growth31-JAN-1235.6356
4681Templeton India Income Opportunities Fund - Dividend31-JAN-1210.4722
4682Templeton India Income Opportunities Fund - Growth31-JAN-1211.8452
4683Templeton India Low Duration Fund - Growth31-JAN-1211.3740
4684Templeton India Low Duration Fund - Monthly Dividend27-JAN-1210.3964
4685Templeton India Low Duration Fund - Quarterly Dividend31-JAN-1210.3504
4686Templeton India Pension Plan - Growth31-JAN-1259.9856
4687Templeton India Pension Plan - Dividend31-JAN-1213.3503
4688Templeton India Short Term Income Plan - I P - Growth31-JAN-121696.0175
4689Templeton India Short Term Income Plan - I P - Monthly Dividend31-JAN-121189.5227
4690Templeton India Short Term Income Plan - I P - Weekly Dividend31-JAN-121012.9770
4691Templeton India Short Term Income Plan-Bonus31-JAN-121141.4454
4692Templeton India Short Term Income Plan-Growth31-JAN-122106.6620
4693Templeton India Short Term Income Plan-Monthly Dividend31-JAN-121153.1186
4694Templeton India Short Term Income Plan-Quarterly Dividend31-JAN-121145.5351
4695Templeton India Short Term Income Plan-Weekly Dividend31-JAN-121075.8919
4696Templeton India Treasury Management Account - Daily Dividend31-JAN-121512.3400
4697Templeton India Treasury Management Account - Growth31-JAN-122577.3943
4698Templeton India Treasury Management Account - Super Institutional Plan - Daily Dividend31-JAN-121000.6730
4699Templeton India Treasury Management Account - Super Institutional Plan - Growth31-JAN-121570.7300
4700Templeton India Treasury Management Account - Super Institutional Plan - Weekly Dividend31-JAN-121021.6537
4701Templeton India Treasury Management Account - Weekly31-JAN-121244.9246
4702Templeton India Treasury Management Account- Institutional - Daily Dividend31-JAN-121000.6730
4703Templeton India Treasury Management Account- Institutional - Growth31-JAN-121641.4869
4704Templeton India Treasury Management Account- Institutional - Weekly Dividend31-JAN-121055.2423
4705Templeton India Ultra-Short Bond Fund - Institutional - Daily Dividend31-JAN-1210.0111
4706Templeton India Ultra-Short Bond Fund - Institutional - Growth31-JAN-1213.5738
4707Templeton India Ultra-Short Bond Fund - Institutional - Weekly Dividend31-JAN-1210.2130
4708Templeton India Ultra-Short Bond Fund - Retail - Daily Dividend31-JAN-1210.0106
4709Templeton India Ultra-Short Bond Fund - Retail - Growth31-JAN-1213.4621
4710Templeton India Ultra-Short Bond Fund - Retail - Weekly Dividend31-JAN-1210.0327
4711Templeton India Ultra-Short Bond Fund - Super Institutional Plan - Daily Dividend31-JAN-1210.0116
4712Templeton India Ultra-Short Bond Fund - Super Institutional Plan - Growth31-JAN-1213.6729
4713Templeton India Ultra-Short Bond Fund - Super Institutional Plan - Weekly Dividend31-JAN-1210.1018
4714Templeton Quarterly Interval Plan - Plan A - Institutional - Dividend26-MAR-0910.0521
4715Templeton Quarterly Interval Plan - Plan A - Institutional - Growth26-MAY-0911.7175
4716Templeton Quarterly Interval Plan - Plan A - Retail - Dividend05-JUN-0910.0184
4717Templeton Quarterly Interval Plan - Plan A - Retail - Growth05-JUN-0911.6567
4718Templeton Quarterly Interval Plan - Plan C - Institutional - Dividend15-MAY-0910.0119
4719Templeton Quarterly Interval Plan - Plan C - Institutional - Growth26-MAR-0910.4727
4720Templeton Quarterly Interval Plan - Plan C - Retail - Dividend15-MAY-0910.0114
4721UTI - Treasury Advantage Fund - Annual Dividend Option31-JAN-121435.4302
4722UTI - Treasury Advantage Fund - Bonus Option31-JAN-121780.7699
4723UTI - Treasury Advantage Fund - Daily Dividend Option31-JAN-121045.8742
4724UTI - Treasury Advantage Fund - Growth Option31-JAN-122671.4515
4725UTI - Treasury Advantage Fund - Institutional - Bonus Option31-JAN-121666.8655
4726UTI - Treasury Advantage Fund - Institutional - Daily Dividend31-JAN-121000.2141
4727UTI - Treasury Advantage Fund - Institutional - Growth31-JAN-121424.5334
4728UTI - Treasury Advantage Fund - Institutional - Monthly Dividend Option31-JAN-121030.6195
4729UTI - Treasury Advantage Fund - Institutional - Quarterly Dividend Option18-JAN-121000.2539
4730UTI - Treasury Advantage Fund - Institutional - Weekly Dividend Option31-JAN-121004.7297
4731UTI - Treasury Advantage Fund - Monthly Dividend Option31-JAN-121046.6145
4732UTI - Treasury Advantage Fund - Quarterly Dividend Option31-JAN-121344.5842
4733UTI - Treasury Advantage Fund - Weekly Dividend Option31-JAN-121068.0558
4734UTI Balanced Fund - Growth31-JAN-1274.5800
4735UTI Balanced Fund - Income31-JAN-1220.1100
4736UTI Banking Sector Fund - Dividend31-JAN-1217.8200
4737UTI Banking Sector Fund - Growth31-JAN-1238.6800
4738UTI Bond Fund-Dividend31-JAN-1211.8992
4739UTI Bond Fund-Growth31-JAN-1231.0904
4740UTI CCP Advantage Fund - Dividend31-JAN-1215.2020
4741UTI CCP Advantage Fund - Growth31-JAN-1215.2020
4742UTI Capital Protection Oriented Scheme - Series I - 5 Years - Dividend31-JAN-1213.7861
4743UTI Capital Protection Oriented Scheme - Series I - 5 Years - Growth31-JAN-1213.7861
4744UTI Charitable & Religious Trust and Registered Societies - Dividend31-JAN-12126.8174
4745UTI Charitable & Religious Trust and Registered Societies - Growth31-JAN-12181.6862
4746UTI Childrens Career Balanced Plan - Growth31-JAN-1214.2531
4747UTI Contra Fund - Dividend31-JAN-1210.7300
4748UTI Contra Fund - Growth31-JAN-1211.6200
4749UTI Dividend Yield Fund - Dividend31-JAN-1213.1500
4750UTI Dividend Yield Fund - Growth31-JAN-1230.6100
4751UTI Dynamic Bond Fund - Dividend31-JAN-1210.3604
4752UTI Dynamic Bond Fund - Growth31-JAN-1211.4101
4753UTI Energy Fund - Dividend31-JAN-1210.5100
4754UTI Energy Fund - Growth31-JAN-12 9.2800
4755UTI Equity Fund - Dividend31-JAN-1246.1600
4756UTI Equity Fund - Growth31-JAN-1252.2300
4757UTI Equity Tax Saving Plan - Dividend31-JAN-1214.3900
4758UTI Equity Tax Saving Plan - Growth31-JAN-1236.0500
4759UTI FMP Yearly Series April 11 - Institutional - Dividend31-JAN-1210.0798
4760UTI FMP Yearly Series April 11 - Institutional - Growth31-JAN-1210.7325
4761UTI FMP Yearly Series April 11 - Regular - Dividend31-JAN-1210.0770
4762UTI FMP Yearly Series April 11 - Regular - Growth31-JAN-1210.7077
4763UTI FMP Yearly Series February 11 - Institutional - Dividend31-JAN-1210.0898
4764UTI FMP Yearly Series February 11 - Institutional - Growth31-JAN-1210.9259
4765UTI FMP Yearly Series February 11 - Regular - Dividend31-JAN-1210.0868
4766UTI FMP Yearly Series February 11 - Regular - Growth31-JAN-1210.8950
4767UTI FMP Yearly Series January 11 - Institutional - Dividend17-FEB-1110.0534
4768UTI FMP Yearly Series January 11 - Institutional - Growth31-JAN-1210.9940
4769UTI FMP Yearly Series January 11 - Regular - Dividend31-JAN-1210.0803
4770UTI FMP Yearly Series January 11 - Regular - Growth31-JAN-1210.9546
4771UTI FMP Yearly Series January 12 - Institutional - Growth31-JAN-1210.0073
4772UTI FMP Yearly Series January 12 - Regular - Dividend31-JAN-1210.0061
4773UTI FMP Yearly Series January 12 - Regular - Growth31-JAN-1210.0061
4774UTI FMP Yearly Series June 11 - Institutional - Growth31-JAN-1210.5739
4775UTI FMP Yearly Series June 11 - Regular - Dividend31-JAN-1210.0797
4776UTI FMP Yearly Series June 11 - Regular - Growth31-JAN-1210.5545
4777UTI FMP Yearly Series March 11 - Institutional - Growth31-JAN-1210.8339
4778UTI FMP Yearly Series March 11 - Regular - Dividend31-JAN-1210.0866
4779UTI FMP Yearly Series March 11 - Regular - Growth31-JAN-1210.7960
4780UTI FMP Yearly Series May 11 - Institutional - Dividend31-JAN-1210.0806
4781UTI FMP Yearly Series May 11 - Institutional - Growth31-JAN-1210.6887
4782UTI FMP Yearly Series May 11 - Regular - Dividend31-JAN-1210.0778
4783UTI FMP Yearly Series May 11 - Regular - Growth31-JAN-1210.6661
4784UTI Fixed Income Interval Fund - Annual - I - Institutional - Dividend31-JAN-1210.0696
4785UTI Fixed Income Interval Fund - Annual - I - Institutional - Growth31-JAN-1214.3535
4786UTI Fixed Income Interval Fund - Annual - I - Retail - Dividend31-JAN-1210.0691
4787UTI Fixed Income Interval Fund - Annual - I - Retail - Growth31-JAN-1214.1164
4788UTI Fixed Income Interval Fund - Annual - II - Institutional - Dividend31-JAN-1210.0766
4789UTI Fixed Income Interval Fund - Annual - II - Institutional - Growth31-JAN-1211.9369
4790UTI Fixed Income Interval Fund - Annual - II - Retail - Dividend31-JAN-1210.0706
4791UTI Fixed Income Interval Fund - Annual - II - Retail - Growth31-JAN-1214.3139
4792UTI Fixed Income Interval Fund - Annual - III - Institutional - Dividend31-JAN-1210.0842
4793UTI Fixed Income Interval Fund - Annual - III - Institutional - Growth31-JAN-1214.4849
4794UTI Fixed Income Interval Fund - Annual - III - Retail - Dividend31-JAN-1210.0712
4795UTI Fixed Income Interval Fund - Annual - III - Retail - Growth31-JAN-1214.2016
4796UTI Fixed Income Interval Fund - Annual - IV - Institutional - Dividend31-JAN-1210.0658
4797UTI Fixed Income Interval Fund - Annual - IV - Institutional - Growth31-JAN-1211.0256
4798UTI Fixed Income Interval Fund - Annual - IV - Retail - Dividend31-JAN-1210.0727
4799UTI Fixed Income Interval Fund - Annual - IV - Retail - Growth31-JAN-1213.7595
4800UTI Fixed Income Interval Fund - Half Yearly - I - Institutional - Dividend31-JAN-1210.0961
4801UTI Fixed Income Interval Fund - Half Yearly - I - Institutional - Growth31-JAN-1210.1675
4802UTI Fixed Income Interval Fund - Half Yearly - I - Retail - Dividend31-JAN-1210.0823
4803UTI Fixed Income Interval Fund - Half Yearly - I - Retail - Growth31-JAN-1213.7314
4804UTI Fixed Income Interval Fund - Half Yearly - II - Institutional - Dividend31-JAN-1210.0788
4805UTI Fixed Income Interval Fund - Half Yearly - II - Institutional - Growth31-JAN-1211.4690
4806UTI Fixed Income Interval Fund - Half Yearly - II - Retail - Dividend31-JAN-1210.0770
4807UTI Fixed Income Interval Fund - Half Yearly - II - Retail - Growth31-JAN-1213.5741
4808UTI Fixed Income Interval Fund - Monthly - I - Institutional - Dividend31-JAN-1210.0192
4809UTI Fixed Income Interval Fund - Monthly - I - Institutional - Growth31-JAN-1213.8933
4810UTI Fixed Income Interval Fund - Monthly - I - Retail - Dividend31-JAN-1210.0173
4811UTI Fixed Income Interval Fund - Monthly - I - Retail - Growth31-JAN-1214.2405
4812UTI Fixed Income Interval Fund - Monthly - II - Institutional - Dividend31-JAN-1210.0406
4813UTI Fixed Income Interval Fund - Monthly - II - Institutional - Growth16-JAN-1211.3634
4814UTI Fixed Income Interval Fund - Monthly - II - Retail - Dividend31-JAN-1210.0362
4815UTI Fixed Income Interval Fund - Monthly - II - Retail - Growth31-JAN-1213.6846
4816UTI Fixed Income Interval Fund - Quarterly - I - Institutional - Dividend31-JAN-1210.1129
4817UTI Fixed Income Interval Fund - Quarterly - I - Institutional - Growth31-JAN-1211.6320
4818UTI Fixed Income Interval Fund - Quarterly - I - Retail - Dividend31-JAN-1210.1131
4819UTI Fixed Income Interval Fund - Quarterly - I - Retail - Growth31-JAN-1214.4062
4820UTI Fixed Income Interval Fund - Quarterly - III - Institutional - Dividend31-JAN-1210.0863
4821UTI Fixed Income Interval Fund - Quarterly - III - Institutional - Growth31-JAN-1214.1936
4822UTI Fixed Income Interval Fund - Quarterly - III - Retail - Dividend31-JAN-1210.0849
4823UTI Fixed Income Interval Fund - Quarterly - III - Retail - Growth31-JAN-1214.0982
4824UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 4 - Institutional - Dividend31-JAN-1210.0204
4825UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 4 - Institutional - Growth31-JAN-1211.3362
4826UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 4 - Retail - Dividend31-JAN-1210.0196
4827UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 4 - Retail - Growth31-JAN-1213.1218
4828UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 5 - Institutional - Dividend31-JAN-1210.0853
4829UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 5 - Institutional - Growth31-JAN-1211.3368
4830UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 5 - Retail - Dividend31-JAN-1210.0844
4831UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 5 - Retail - Growth31-JAN-1212.9225
4832UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 6 - Institutional - Dividend31-JAN-1210.0874
4833UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 6 - Institutional - Growth31-JAN-1211.6745
4834UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 6 - Retail - Dividend31-JAN-1210.0873
4835UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 6 - Retail - Growth31-JAN-1212.9414
4836UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 7 - Institutional - Dividend31-JAN-1210.0700
4837UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 7 - Institutional - Growth31-JAN-1211.3637
4838UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 7 - Retail - Dividend31-JAN-1210.0690
4839UTI Fixed Income Interval Fund - Series - II - Quarterly Interval Plan - 7 - Retail - Growth31-JAN-1213.0392
4840UTI Fixed Term Income Fund - Series IX - Plan I - Dividend31-JAN-1210.1081
4841UTI Fixed Term Income Fund - Series IX - Plan I - Growth31-JAN-1210.8548
4842UTI Fixed Term Income Fund - Series IX - Plan II - Dividend31-JAN-1210.0830
4843UTI Fixed Term Income Fund - Series IX - Plan II - Growth31-JAN-1210.7465
4844UTI Fixed Term Income Fund - Series IX - Plan III - Dividend31-JAN-1210.3128
4845UTI Fixed Term Income Fund - Series IX - Plan III - Growth31-JAN-1210.7323
4846UTI Fixed Term Income Fund - Series IX - Plan IV - Dividend31-JAN-1210.0777
4847UTI Fixed Term Income Fund - Series IX - Plan IV - Growth31-JAN-1210.6727
4848UTI Fixed Term Income Fund - Series IX - Plan V - Dividend31-JAN-1210.0762
4849UTI Fixed Term Income Fund - Series IX - Plan V - Growth31-JAN-1210.6433
4850UTI Fixed Term Income Fund - Series IX - Plan VI - Dividend31-JAN-1210.0830
4851UTI Fixed Term Income Fund - Series IX - Plan VI - Growth31-JAN-1210.5205
4852UTI Fixed Term Income Fund - Series X - Plan I - Dividend31-JAN-1210.0889
4853UTI Fixed Term Income Fund - Series X - Plan I - Growth31-JAN-1210.5107
4854UTI Fixed Term Income Fund - Series X - Plan II - Dividend31-JAN-1210.0763
4855UTI Fixed Term Income Fund - Series X - Plan II - Growth31-JAN-1210.4987
4856UTI Fixed Term Income Fund - Series X - Plan III - Dividend27-JAN-1210.0661
4857UTI Fixed Term Income Fund - Series X - Plan III - Growth31-JAN-1210.4586
4858UTI Fixed Term Income Fund - Series X - Plan IV - Dividend30-JAN-1210.0784
4859UTI Fixed Term Income Fund - Series X - Plan IV - Growth30-JAN-1210.4717
4860UTI Fixed Term Income Fund - Series X - Plan V - Dividend31-JAN-1210.0764
4861UTI Fixed Term Income Fund - Series X - Plan V - Growth31-JAN-1210.4236
4862UTI Fixed Term Income Fund - Series X - Plan VI - Dividend31-JAN-1210.0243
4863UTI Fixed Term Income Fund - Series X - Plan VI - Growth31-JAN-1210.0243
4864UTI Floating Rate Fund - Short Term Plan - Daily Dividend31-JAN-121057.1984
4865UTI Floating Rate Fund - Short Term Plan - Dividend31-JAN-121092.1488
4866UTI Floating Rate Fund - Short Term Plan - Growth31-JAN-121706.5512
4867UTI Floating Rate Fund - Short Term Plan - Institutional - Daily Dividend31-JAN-121000.7707
4868UTI Floating Rate Fund - Short Term Plan - Institutional - Growth31-JAN-121193.2288
4869UTI Floating Rate Fund - Short Term Plan - Institutional - Weekly Dividend31-JAN-121014.4943
4870UTI G-SEC - Investment Plan - Growth Fund31-JAN-1222.2666
4871UTI G-SEC - Investment Plan - Income Fund31-JAN-1210.9100
4872UTI G-SEC - Short Term Plan - Growth31-JAN-1215.2828
4873UTI G-SEC - Short Term Plan - Income31-JAN-1211.8347
4874UTI Gilt Advantage Fund - LTP - PF Plan - Prescribed Appreciation Auto Redemption06-JAN-1114.8006
4875UTI Gilt Advantage Fund - LTP - PF Plan - Prescribed Date Auto Redemption31-JAN-1216.2450
4876UTI Gilt Advantage Fund - LTP-PF Plan - Dividend31-JAN-1212.6123
4877UTI Gilt Advantage Fund - LTP-PF Plan - Growth31-JAN-1216.2361
4878UTI Gilt Advantage Fund - Long Term-Dividend31-JAN-1213.5453
4879UTI Gilt Advantage Fund - Long Term-Growth31-JAN-1221.8365
4880UTI Gold Exchange Traded Fund31-JAN-122733.4400
4881UTI India Lifestyle Fund - Dividend31-JAN-1211.5300
4882UTI India Lifestyle Fund - Growth31-JAN-1211.5300
4883UTI Infrastructure Fund - Dividend31-JAN-1215.2900
4884UTI Infrastructure Fund - Growth31-JAN-1226.9000
4885UTI Investment Bond Fund - Retail - Dividend31-JAN-1210.8332
4886UTI Investment Bond Fund - Retail - Growth31-JAN-1210.8332
4887UTI Leadership Equity Fund - Dividend31-JAN-1212.9600
4888UTI Leadership Equity Fund - Growth31-JAN-1213.9800
4889UTI Liquid Cash Plan - Dividend31-JAN-121101.4081
4890UTI Liquid Cash Plan - Growth31-JAN-121691.6118
4891UTI Liquid Cash Plan - Institutional - Daily Dividend31-JAN-121019.4457
4892UTI Liquid Cash Plan - Institutional - Growth31-JAN-121732.7734
4893UTI Liquid Cash Plan - Institutional - Monthly Dividend31-JAN-121032.8663
4894UTI Liquid Cash Plan - Institutional - Weekly Dividend31-JAN-121043.0328
4895UTI Liquid Cash Plan - Monthly Dividend31-JAN-121104.9241
4896UTI Long Term Advantage Fund - Series I - Dividend27-JAN-1211.2000
4897UTI Long Term Advantage Fund - Series I - Growth31-JAN-1211.1900
4898UTI Long Term Advantage Fund - Series II - Dividend31-JAN-1212.9900
4899UTI Long Term Advantage Fund - Series II - Growth31-JAN-1212.9900
4900UTI MEP Unit Scheme31-JAN-1246.1900
4901UTI MIS - Advantage Plan - Flexi Dividend Plan31-JAN-1220.7891
4902UTI MIS - Advantage Plan - Growth31-JAN-1220.7871
4903UTI MIS - Advantage Plan - Monthly Dividend Plan31-JAN-1212.6070
4904UTI MIS - Advantage Plan - Monthly Payment Plan31-JAN-1220.7967
4905UTI MNC Fund - Dividend31-JAN-1239.1000
4906UTI MNC Fund - Growth31-JAN-1260.5600
4907UTI Mahila Unit Scheme-Dividend31-JAN-1220.6883
4908UTI Mahila Unit Scheme-Growth31-JAN-1220.6883
4909UTI Master Index Fund - Dividend31-JAN-1253.5825
4910UTI Master Index Fund - Growth31-JAN-1253.5825
4911UTI Master Plus Unit Scheme - Dividend31-JAN-1255.9200
4912UTI Master Plus Unit Scheme - Growth31-JAN-1277.5600
4913UTI Master Value Fund - Dividend31-JAN-1219.8700
4914UTI Master Value Fund - Growth31-JAN-1247.3800
4915UTI Mastershare Unit Scheme - Dividend31-JAN-1224.9800
4916UTI Mastershare Unit Scheme - Growth31-JAN-1250.4500
4917UTI Mid Cap Fund - Dividend31-JAN-1219.4900
4918UTI Mid Cap Fund - Growth31-JAN-1228.5900
4919UTI Money Market Fund - Daily Dividend31-JAN-121932.9447
4920UTI Money Market Fund - Institutional - Daily Dividend31-JAN-121003.3854
4921UTI Money Market Fund - Institutional - Growth31-JAN-121182.5868
4922UTI Money Market Fund - Institutional - Weekly Dividend31-JAN-121015.0941
4923UTI Money Market Fund-Growth31-JAN-122922.6359
4924UTI Money Market Fund-Income31-JAN-121942.5326
4925UTI Monthly Income Scheme - Dividend31-JAN-1211.7099
4926UTI Monthly Income Scheme - Growth31-JAN-1220.7181
4927UTI Nifty Index Fund-Dividend31-JAN-1216.4355
4928UTI Nifty Index Fund-Growth31-JAN-1232.2826
4929UTI Opportunities Fund - Dividend31-JAN-1213.8000
4930UTI Opportunities Fund - Growth31-JAN-1227.3300
4931UTI Pharma and Healthcare Fund - Dividend31-JAN-1230.8500
4932UTI Pharma and Healthcare Fund - Growth31-JAN-1239.9100
4933UTI Retirement Benefit Pension Fund - Growth31-JAN-1217.6948
4934UTI SPrEAD Fund - Dividend31-JAN-1212.4856
4935UTI SPrEAD Fund - Growth31-JAN-1215.1790
4936UTI SUNDER Scheme31-JAN-12571.3520
4937UTI Services Industries Fund - Dividend31-JAN-1223.0900
4938UTI Services Industries Fund - Growth31-JAN-1253.7000
4939UTI Short Term Income Fund - Growth31-JAN-1218.1698
4940UTI Short Term Income Fund - Institutional - Growth31-JAN-1212.3632
4941UTI Short Term Income Fund - Institutional - Monthly Dividend31-JAN-1210.6055
4942UTI Short Term Income Fund - Monthly Dividend31-JAN-1212.6996
4943UTI Top 100 Fund - Dividend31-JAN-1221.0800
4944UTI Top 100 Fund - Growth31-JAN-1227.1400
4945UTI Transportation and Logistics Fund - Dividend31-JAN-1213.2900
4946UTI Transportation and Logistics Fund - Growth31-JAN-1226.5400
4947UTI Unit Linked Insurance Plan (US) 197131-JAN-1217.1279
4948UTI Wealth Builder Fund - Series II - Institutional - Dividend26-MAR-0910.9900
4949UTI Wealth Builder Fund - Series II - Institutional - Growth05-JAN-0910.1100
4950UTI Wealth Builder Fund - Series II - Retail - Dividend31-JAN-1215.0400
4951UTI Wealth Builder Fund - Series II - Retail - Growth31-JAN-1220.1300
4952Union KBC Equity Fund - Dividend31-JAN-12 9.2900
4953Union KBC Equity Fund - Growth31-JAN-12 9.2900
4954Union KBC Fixed Maturity Plan - 92 Days - Series 2 - Dividend31-JAN-1210.1099
4955Union KBC Fixed Maturity Plan - 92 Days - Series 2 - Growth31-JAN-1210.1099
4956Union KBC Liquid Fund - Daily Dividend31-JAN-121000.1800
4957Union KBC Liquid Fund - Fortnightly Dividend29-DEC-111000.6918
4958Union KBC Liquid Fund - Growth31-JAN-121057.2586
4959Union KBC Liquid Fund - Monthly Dividend31-JAN-121001.4975
4960Union KBC Liquid Fund - Weekly Dividend31-JAN-121000.1800
4961Union KBC Tax Saver Scheme - Dividend31-JAN-1210.7400
4962Union KBC Tax Saver Scheme - Growth31-JAN-1210.7400




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