IDFC Asset Alloc-Cons-Reg(G)

IDFC Asset Alloc FoF-Cons-Reg(G)
Dividend Yearly
NA
Category
Equity - FOF
52-week NAV high
24.12  (As on 04-01-2021)
52-week NAV low
20.46  (As on 23-03-2020)
Expense
0.83%  (As on 30-11-2020)

Performance

1 mnth 3 mnth 6 mnth 1 yr 2 yr 3 yr 4 yr 5 yr 10 yr
Fund Returns 1.56 4.57 7.75 8.26 8.41 6.39 7.36 7.70 -
Scheme Details
Fund Type
Open Ended
Investment Plan
Growth
Bonus
NA
Launch Date
Feb 11, 2010
Last Dividend
NA
Minimum Investment
5000

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