NAV (Rs) on 24 May, 2012

11.51 INR0.02 0.18%

Loading graph. Please wait...

Initial Price10

Min InvestmentRs 5,000

Entry loadNIL

Exit load1.50%

NAV Returns

5 days0.16%
1 month-0.22%
6 months5.31%
1 year7.85%
3 years0.00%
5 years0%

Profile

Essentials
Fund categoryFunds of Funds
Scheme planGrowth
Scheme typeOpen Ended
Launch DateJanuary 04, 2010
Fund ManagerMs. Punam Sharma
Info
AMCIDFC Asset Management Company Private Ltd
Objective The primary objective of the scheme is to generate capital appreciation through investment in different mutual fund schemes primarily local funds based on a defined asset allocation model.
Asset (Rs cr)43.28 (April 30, 2012)
Dividend (%)0.18 (April 10, 2012)
Registered office: Bombay House24, Homi Mody Street, Mumbai-400001, Maharashtra, India.



Tel:
022-66658282
Fax:
022-66658282