0P00005WD3.BO | ICICI Prudential Money Market F | 358.52 | N/A | Mutual Fund | BSE |
0P00005WL3.BO | UTI Large & Mid Cap Fund Regula | 90.89 | N/A | Mutual Fund | BSE |
0P00005WT3.BO | Kotak Savings Fund Growth", | 40.66 | N/A | Mutual Fund | BSE |
0P00005WU3.BO | Kotak Debt Hybrid Monthly Payou | 13.51 | N/A | Mutual Fund | BSE |
0P00005WE6.BO | Nippon India Equity Hybrid Fund | 105.84 | N/A | Mutual Fund | BSE |
0P0000PWE3.BO | Nippon India Index Fund Nifty 5 | 34.27 | N/A | Mutual Fund | BSE |
0P00005WEY.BO | SBI Equity Hybrid Fund Regular | 288.21 | N/A | Mutual Fund | BSE |
0P00005WE3.BO | Nippon India Balanced Advantage | 174.81 | N/A | Mutual Fund | BSE |
0P00005WE2.BO | Nippon India Balanced Advantage | 34.90 | N/A | Mutual Fund | BSE |
0P00005WI3.BO | Tata Infrastructure Fund Payout | 95.44 | N/A | Mutual Fund | BSE |
0P00005WE1.BO | Nippon India Balanced Advantage | 174.81 | N/A | Mutual Fund | BSE |
0P00005WE4.BO | Nippon India Credit Risk Fund G | 32.74 | N/A | Mutual Fund | BSE |
0P00005WEZ.BO | SBI Bluechip Fund Regular Payou | 53.95 | N/A | Mutual Fund | BSE |
0P00005VE3.BO | Franklin India Dynamic Asset Al | 161.54 | N/A | Mutual Fund | BSE |
0P00005WEX.BO | SBI Equity Hybrid Fund Regular | 61.07 | N/A | Mutual Fund | BSE |
0P00005WE5.BO | Nippon India Value Fund - Growt | 236.74 | N/A | Mutual Fund | BSE |
0P00005WEJ.BO | Sahara Liquid Fund Fixed Prici | 3,222.58 | N/A | Mutual Fund | BSE |
0P00005WV3.BO | LIC MF Gilt Fund PF Plan Growth | 33.20 | N/A | Mutual Fund | BSE |
0P00005WW3.BO | LIC MF Low Duration Fund Growth | 37.48 | N/A | Mutual Fund | BSE |
0P00005WX3.BO | Sundaram Dividend Yield Fund Ha | 44.16 | N/A | Mutual Fund | BSE |
0P00005WEE.BO | Sahara Infrastructure Fund Fix | 19.46 | N/A | Mutual Fund | BSE |
0P00005WEO.BO | Sahara Liquid Fund Variable Pr | 1,355.01 | N/A | Mutual Fund | BSE |
0P00005WEA.BO | Sahara Growth Fund Dividend Pa | 44.91 | N/A | Mutual Fund | BSE |
0P00005WEM.BO | Sahara Liquid Fund Fixed Prici | 1,027.44 | N/A | Mutual Fund | BSE |
0P00005WEL.BO | Sahara Liquid Fund Variable Pr | 1,329.71 | N/A | Mutual Fund | BSE |