Historical Dividend of Funds

Category Launch Date Benchmark Expense Ratio AUM
Hybrid: Aggressive 03-08-2018 CRISIL Hybrid 35+65 Aggressive Index 2.14%
As on (30-11-2024)
1,616.01 Cr
As on (29-11-2024)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
25-11-2024 0.1000 13.98 0.72%
25-10-2024 0.1000 13.93 0.72%
25-09-2024 0.1000 14.84 0.67%
26-08-2024 0.1000 14.39 0.69%
25-07-2024 0.1000 14.06 0.71%
25-06-2024 0.1000 13.78 0.73%
27-05-2024 0.1000 13.27 0.75%
26-04-2024 0.1000 13.04 0.77%
26-03-2024 0.1000 12.82 0.78%
26-02-2024 0.1000 12.96 0.77%
25-01-2024 0.1000 12.73 0.79%
26-12-2023 0.1000 12.89 0.78%
28-11-2023 0.1000 12.38 0.81%
25-10-2023 0.1000 12.11 0.83%
25-09-2023 0.1000 12.49 0.80%
25-08-2023 0.1000 12.4 0.81%
25-07-2023 0.1000 12.68 0.79%
26-06-2023 0.1000 12.38 0.81%
25-05-2023 0.1000 12.11 0.83%
25-04-2023 0.1000 11.86 0.84%
27-03-2023 0.1000 11.5 0.87%
27-02-2023 0.1000 11.95 0.84%
25-01-2023 0.1000 12.13 0.82%
26-12-2022 0.1000 12.56 0.80%
25-11-2022 0.1000 12.94 0.77%
25-10-2022 0.1000 12.81 0.78%
26-09-2022 0.1000 12.72 0.79%
25-08-2022 0.1000 13.1 0.76%
25-07-2022 0.1000 12.65 0.79%
27-06-2022 0.1000 12.13 0.82%
25-05-2022 0.1000 12.32 0.81%
25-04-2022 0.1000 13.27 0.75%
25-03-2022 0.1000 13.5 0.74%
28-02-2022 0.1000 13.52 0.74%
27-01-2022 0.1000 13.79 0.73%
27-12-2021 0.1000 14.38 0.70%
25-11-2021 0.1000 14.83 0.67%
25-10-2021 0.1000 14.79 0.68%
27-09-2021 0.1000 14.87 0.67%
25-08-2021 0.0800 14.02 0.57%
26-07-2021 0.0800 13.68 0.58%
25-06-2021 0.0800 13.36 0.60%
25-05-2021 0.0800 12.91 0.62%
26-04-2021 0.0800 12.43 0.64%
25-03-2021 0.0800 12.41 0.64%
25-02-2021 0.0800 12.97 0.62%
28-01-2021 0.0800 12.42 0.64%
28-12-2020 0.0800 12.68 0.63%
26-11-2020 0.0800 12.09 0.66%
25-02-2020 0.0576 11.32 0.51%