
You can view your scheme's/fund's past performance by looking at the NAV history.
From
To
NAV Performance analysis for Kotak Group Balanced (ULGF-003-27/06/03-BALFND-107)
NAV | Dates | |
---|---|---|
Start | 96.1039 | 07-03-2022 |
High | 103.6087 | 04-04-2022 |
Low | 96.1039 | 07-03-2022 |
End | 96.4351 | 11-05-2022 |
Date | NAV |
---|---|
07-03-2022 | 96.1039 |
08-03-2022 | 96.6534 |
09-03-2022 | 97.8805 |
10-03-2022 | 98.7382 |
11-03-2022 | 98.8626 |
14-03-2022 | 99.7986 |
15-03-2022 | 99.4019 |
16-03-2022 | 100.4623 |
17-03-2022 | 101.5246 |
21-03-2022 | 101.0623 |
22-03-2022 | 101.4745 |
23-03-2022 | 101.2765 |
24-03-2022 | 101.1677 |
25-03-2022 | 100.9828 |
28-03-2022 | 101.1874 |
29-03-2022 | 101.5787 |
30-03-2022 | 102.3000 |
31-03-2022 | 102.2868 |
01-04-2022 | 102.7768 |
04-04-2022 | 103.6087 |
05-04-2022 | 103.5492 |
06-04-2022 | 103.1751 |
07-04-2022 | 102.9360 |
08-04-2022 | 103.2046 |
11-04-2022 | 102.8384 |
12-04-2022 | 102.2668 |
13-04-2022 | 102.0492 |
18-04-2022 | 101.3052 |
19-04-2022 | 100.7650 |
20-04-2022 | 101.1757 |
21-04-2022 | 101.9781 |
22-04-2022 | 101.2554 |
25-04-2022 | 100.5432 |
26-04-2022 | 101.3542 |
27-04-2022 | 100.7155 |
28-04-2022 | 101.3295 |
29-04-2022 | 100.7941 |
02-05-2022 | 100.4177 |
04-05-2022 | 98.5663 |
05-05-2022 | 98.5229 |
06-05-2022 | 97.4294 |
09-05-2022 | 96.8583 |
10-05-2022 | 96.5350 |
11-05-2022 | 96.4351 |