Оценка 3,0 · Value Research Current NAV: The Current Net Asset Value of the Sundaram Aggressive Hybrid Fund as of Nov 26, 2024 is Rs 29.29 for IDCW Monthly option of its Regular plan. 2. |
... fund gave 20% returns in last 1 year. Now for the growth option, today's mutual fund price (NAV) will be 120, so all profit/loss reflects in price of the fund. |
Sundaram Aggressive Hybrid Fund - (IDCW-M). Growth | Dividend | Switch To Best Scheme. 29.3027. Chg: 0.25(0.87%). Buy Sell SIP. Info; Scheme Details; Return ... |
Historical Mutual Fund NAV of Sundaram Aggressive Hybrid Fund Monthly IDCW ; 23-10-2024, 29.8433 ; 22-10-2024, 29.772 ; 21-10-2024, 30.1602 ; 18-10-2024, 30.2629. |
Оценка 3,0 · Groww The NAV of Sundaram Aggressive Hybrid Fund Direct IDCW Monthly is ₹44.50 as of 25 Nov 2024. What is the PE and PB ratio of Sundaram Aggressive Hybrid Fund ... |
Novbeti > |
Axtarisha Qayit Anarim.Az Anarim.Az Sayt Rehberliyi ile Elaqe Saytdan Istifade Qaydalari Anarim.Az 2004-2023 |