as

Tata Treasury Advantage Fund-Regular Plan - Growth (Segregated Portfolio 1)

Category Debt Scheme - Low Duration Fund
NAV 33.4714
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Treasury Advantage Fund - Regular Plan - Growth

Category Debt Scheme - Low Duration Fund
NAV 2910.1147
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Treasury Advantage Fund- Direct Plan -Growth (Segregated Portfolio 1)

Category Debt Scheme - Low Duration Fund
NAV 33.8429
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Treasury Advantage Fund- Direct Plan - Daily Dividend (Segregated Portfolio 1)

Category Debt Scheme - Low Duration Fund
NAV 11.6841
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Treasury Advantage Fund -Direct Plan -Weekly Dividend (Segregated Portfolio 1)

Category Debt Scheme - Low Duration Fund
NAV 11.7558
Repurchase Price
Sale Price
Date 08-May-2020




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Tata Treasury Advantage Fund -Direct Plan -Periodic Dividend (Segregated Portfolio 1)

Category Debt Scheme - Low Duration Fund
NAV 21.4598
Repurchase Price
Sale Price
Date 08-May-2020




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Tata Treasury Advantage Fund - Direct Plan - Weekly Dividend

Category Debt Scheme - Low Duration Fund
NAV 1009.4151
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Treasury Advantage Fund - Direct Plan - Periodic Dividend

Category Debt Scheme - Low Duration Fund
NAV 1869.3065
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Treasury Advantage Fund - Direct Plan - Growth

Category Debt Scheme - Low Duration Fund
NAV 2946.9175
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Treasury Advantage Fund - Direct Plan - Daily Dividend

Category Debt Scheme - Low Duration Fund
NAV 1003.5316
Repurchase Price
Sale Price
Date 08-May-2020




as

Tata Infrastructure Fund-Regular Plan- Growth

Category Equity Scheme - Sectoral/ Thematic
NAV 40.9858
Repurchase Price
Sale Price
Date 08-May-2020




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Tata Infrastructure Fund-Regular Plan - Dividend

Category Equity Scheme - Sectoral/ Thematic
NAV 19.4490
Repurchase Price
Sale Price
Date 08-May-2020




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Tata Infrastructure Fund -Direct Plan Growth

Category Equity Scheme - Sectoral/ Thematic
NAV 42.5942
Repurchase Price
Sale Price
Date 08-May-2020




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Tata Infrastructure Fund -Direct Plan Dividend

Category Equity Scheme - Sectoral/ Thematic
NAV 22.3115
Repurchase Price
Sale Price
Date 08-May-2020




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Extension of the last date of filing of Form NFRA-2

General Circular No. 19/2020F. No 7/39/2019-CL-IGovernment of IndiaMinistry of Corporate Affairs5th Floor, ‘A’ Wing, Shas




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Discussion Paper Business Combinations-Disclosures, Goodwill and Impairment issued by the IASB for comments 

Mergers and acquisitions-referred to as ‘business combinations’ in IFRS Standards- are often large transactions for the companies involved. These transactions play a central role in the global economy. IFRS 3



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IL&FS Infrastructure Debt Fund Series 1B - Growth

Category Income
NAV 1708337.0902
Repurchase Price
Sale Price
Date 31-Mar-2020




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IL&FS Infrastructure Debt Fund Series 1B - Dividend Payout

Category Income
NAV 1708337.0894
Repurchase Price
Sale Price
Date 31-Mar-2020




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IL&FS Infrastructure Debt Fund Series 3B - Growth - Direct

Category Income
NAV 1180789.9733
Repurchase Price
Sale Price
Date 31-Mar-2020




as

IL&FS Infrastructure Debt Fund Series 3B - Dividend payout option

Category Income
NAV 1180789.9682
Repurchase Price
Sale Price
Date 31-Mar-2020




as

IL&FS Infrastructure Debt Fund Series 3A - Growth - Regular

Category Income
NAV 1191590.973
Repurchase Price
Sale Price
Date 31-Mar-2020




as

IL&FS Infrastructure Debt Fund Series 3A - Growth - Direct

Category Income
NAV 1192975.9269
Repurchase Price
Sale Price
Date 31-Mar-2020




as

IL&FS Infrastructure Debt Fund Series 3A - Dividend payout option - Direct

Category Income
NAV 1192975.917
Repurchase Price
Sale Price
Date 31-Mar-2020




as

IL&FS Infrastructure Debt Fund Series 1C- Dividend Payout Option

Category Income
NAV 1726671.5289
Repurchase Price
Sale Price
Date 31-Mar-2020




as

IL&FS Infrastructure Debt Fund Series 1C - Growth

Category Income
NAV 1726671.5276
Repurchase Price
Sale Price
Date 31-Mar-2020




as

IL&FS Infrastructure Debt Fund Series 1A - Growth

Category Income
NAV 1680494.0463
Repurchase Price
Sale Price
Date 31-Dec-2018




as

IL&FS Infrastructure Debt Fund Series 1A - Dividend payout option

Category Income
NAV 1680494.0463
Repurchase Price
Sale Price
Date 31-Dec-2018




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BOI AXA Manufacturing & Infrastructure Fund-Regular Dividend

Category Equity Scheme - Sectoral/ Thematic
NAV 8.51
Repurchase Price
Sale Price
Date 08-May-2020




as

BOI AXA Manufacturing & Infrastructure Fund-Quarterly Dividend

Category Equity Scheme - Sectoral/ Thematic
NAV 8.47
Repurchase Price
Sale Price
Date 08-May-2020




as

BOI AXA Manufacturing & Infrastructure Fund-Growth

Category Equity Scheme - Sectoral/ Thematic
NAV 13.05
Repurchase Price
Sale Price
Date 08-May-2020




as

BOI AXA Manufacturing & Infrastructure Fund-Direct Plan-Regular Dividend

Category Equity Scheme - Sectoral/ Thematic
NAV 13.45
Repurchase Price
Sale Price
Date 08-May-2020




as

BOI AXA Manufacturing & Infrastructure Fund-Direct Plan-Quarterly Dividend

Category Equity Scheme - Sectoral/ Thematic
NAV 14.02
Repurchase Price
Sale Price
Date 08-May-2020




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BOI AXA Manufacturing & Infrastructure Fund-Direct Plan-Growth

Category Equity Scheme - Sectoral/ Thematic
NAV 14.24
Repurchase Price
Sale Price
Date 08-May-2020




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HSBC Asia Pacific (Ex Japan) Dividend Yield Fund - Growth Direct

Category Other Scheme - FoF Overseas
NAV 14.5903
Repurchase Price
Sale Price
Date 08-May-2020




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HSBC Asia Pacific (Ex Japan) Dividend Yield Fund - Growth

Category Other Scheme - FoF Overseas
NAV 13.9624
Repurchase Price
Sale Price
Date 08-May-2020




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HSBC Asia Pacific (Ex Japan) Dividend Yield Fund - Dividend Direct

Category Other Scheme - FoF Overseas
NAV 14.5851
Repurchase Price
Sale Price
Date 08-May-2020




as

HSBC Asia Pacific (Ex Japan) Dividend Yield Fund - Dividend

Category Other Scheme - FoF Overseas
NAV 13.9624
Repurchase Price
Sale Price
Date 08-May-2020




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HSBC Dynamic Asset Allocation Fund-Growth Direct

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 18.4023
Repurchase Price
Sale Price
Date 28-Dec-2018




as

HSBC Dynamic Asset Allocation Fund-Dividend Direct

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 18.4023
Repurchase Price
Sale Price
Date 28-Dec-2018




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HSBC Dynamic Asset Allocation Fund - Growth

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 17.6359
Repurchase Price
Sale Price
Date 28-Dec-2018




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HSBC Dynamic Asset Allocation Fund - Dividend

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 17.6359
Repurchase Price
Sale Price
Date 28-Dec-2018




as

HSBC Cash Fund-Regular-Growth

Category Debt Scheme - Liquid Fund
NAV 2915.28
Repurchase Price
Sale Price
Date 10-May-2020




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HSBC Cash Fund-Institutional Plan - Daily Dividend

Category Debt Scheme - Liquid Fund
NAV 1464.5827
Repurchase Price
Sale Price
Date 10-May-2020




as

HSBC Cash Fund - Weekly Dividend Direct

Category Debt Scheme - Liquid Fund
NAV 1131.4377
Repurchase Price
Sale Price
Date 10-May-2020




as

HSBC Cash Fund - Weekly Dividend

Category Debt Scheme - Liquid Fund
NAV 1108.156
Repurchase Price
Sale Price
Date 10-May-2020




as

HSBC Cash Fund - Unclaimed Redemption Below 3 years

Category Debt Scheme - Liquid Fund
NAV 1293.6096
Repurchase Price
Sale Price
Date 10-May-2020




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HSBC Cash Fund - Unclaimed Redemption Above 3 years

Category Debt Scheme - Liquid Fund
NAV 1000
Repurchase Price
Sale Price
Date 10-May-2020




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HSBC Cash Fund - Unclaimed Dividend Below 3 years

Category Debt Scheme - Liquid Fund
NAV 1293.6096
Repurchase Price
Sale Price
Date 10-May-2020




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HSBC Cash Fund - Unclaimed Dividend Above 3 years

Category Debt Scheme - Liquid Fund
NAV 1000
Repurchase Price
Sale Price
Date 10-May-2020




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HSBC Cash Fund - Regular- Dividend

Category Debt Scheme - Liquid Fund
NAV 1019.3
Repurchase Price
Sale Price
Date 10-May-2020