MutualFund

Category Returns

Category :
Your results on  :  Equity - Services
Scheme Name NAV(Rs )
(NAV Date )
1 Week
(%)
1 Month
(%)
3 Months
(%)
6 Months
(%)
1 Year
(%)
3 Years
(%)
5 Years
(%)
Since Inception(%)
(Inception Date(%) )
Axis Services Opportunities Fund - Dir (G) 10.00
(26 Aug 2025)
0.60 1.20 NA NA NA NA NA 1.20
(24 Jul 2025)
Axis Services Opportunities Fund - Dir (IDCW) 10.00
(26 Aug 2025)
0.60 1.20 NA NA NA NA NA 1.20
(24 Jul 2025)
Axis Services Opportunities Fund - Reg (G) 9.98
(26 Aug 2025)
0.50 1.00 NA NA NA NA NA 1.00
(24 Jul 2025)
Axis Services Opportunities Fund - Reg (IDCW) 9.98
(26 Aug 2025)
0.50 1.00 NA NA NA NA NA 1.00
(24 Jul 2025)
Motilal Oswal Services Fund - Direct (G) 10.35
(26 Aug 2025)
2.06 6.29 NA NA NA NA NA 5.72
(09 Jun 2025)
Motilal Oswal Services Fund - Direct (IDCW) 10.35
(26 Aug 2025)
2.06 6.30 NA NA NA NA NA 5.72
(09 Jun 2025)
Motilal Oswal Services Fund - Regular (G) 10.35
(26 Aug 2025)
2.06 6.29 NA NA NA NA NA 5.70
(09 Jun 2025)
Motilal Oswal Services Fund - Regular (IDCW) 10.35
(26 Aug 2025)
2.06 6.29 NA NA NA NA NA 5.70
(09 Jun 2025)

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