Markets

Market Nav

RECENT DIVIDENDS

You can view the list of Recent Dividend.

Scheme NameDateDividend (%)
Nippon Bal Adv 14/07/20252.20
Nippon Bal Adv DP 14/07/20252.20
LIC MF Liquid 13/07/20250.01
Tata LiquidRP 13/07/20250.02
AdityaBSL Liquid RP 13/07/20250.09
LIC MF Liquid 12/07/20250.01
Tata LiquidRP 12/07/20250.02
LIC MF Liquid 11/07/20250.01
AdityaBSL Liquid RP 11/07/20250.06
Franklin FloatRate 11/07/20250.05
Tata LiquidRP 11/07/20250.01
Franklin FloatRateDP 11/07/20250.05
AdityaBSL MoneyMrgRP 11/07/20250.11
Franklin FloatRate 10/07/20250.01
ITI Balanced Adv 10/07/20251.00
Franklin FloatRateDP 10/07/20250.01
AdityaBSL Liquid RP 10/07/20250.07
LIC MF Liquid 10/07/20250.01
UTI MultiAssetAllo 10/07/20252.55
Showing Page : 1 of 6