NAV (Rs) on 24 May, 2012

1,993.10 INR0.48 0.02%

Loading graph. Please wait...

Initial Price1000

Min InvestmentRs 10,000

Entry loadNIL

Exit loadNIL

NAV Returns

5 days0.14%
1 month0.74%
6 months4.97%
1 year9.69%
3 years23.86%
5 years1363.35%

Profile

Essentials
Fund categoryLiquid Fund
Scheme planGrowth
Scheme typeOpen Ended
Launch DateOctober 27, 2005
Fund ManagerMr. Ashwini Kumar
Info
AMCSahara Asset Management Co. Pvt Ltd.
Objective
Asset (Rs cr)34,108.16 (April 30, 2012)
Dividend (%)0.02 (May 22, 2012)
Registered office: Bombay House24, Homi Mody Street, Mumbai-400001, Maharashtra, India.



Tel:
022-66658282
Fax:
022-66658282