b

BARODA MULTI CAP FUND - Plan B (Direct) - Dividend Option

Category Equity Scheme - Multi Cap Fund
NAV 22.91
Repurchase Price
Sale Price
Date 08-May-2020




b

BARODA MULTI CAP FUND - Plan A - Growth Option

Category Equity Scheme - Multi Cap Fund
NAV 81.03
Repurchase Price
Sale Price
Date 08-May-2020




b

BARODA MULTI CAP FUND - Plan A - Dividend Option

Category Equity Scheme - Multi Cap Fund
NAV 22.58
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 56 Scheme B-Regular Plan-Growth

Category Income
NAV 11.3599
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 56 Scheme B-Regular Plan-Dividend Payout

Category Income
NAV 11.3623
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 56 Scheme B-Direct Plan-Growth

Category Income
NAV 11.4322
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Matuirty Plan Series 56 Scheme B-Direct Plan-Dividend Payout

Category Income
NAV 11.4596
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 55 Scheme B Regular Plan Growth

Category Income
NAV 11.6223
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 55 Scheme B Regular Plan Dividend Payout

Category Income
NAV 11.6225
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 55 Scheme B Direct Plan Growth

Category Income
NAV 11.6742
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 55 Scheme B Direct Plan Dividend Payout

Category Income
NAV 11.8457
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 53 Scheme B Regular Plan Growth

Category Income
NAV 11.8269
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 53 Scheme B Regular Plan Dividend Payout

Category Income
NAV 11.8278
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 53 Scheme B Direct Plan Growth

Category Income
NAV 11.8791
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Fixed Maturity Plan Series 53 Scheme B Direct Plan Dividend Payout

Category Income
NAV 11.8936
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Nifty Private Bank Exchange Traded Fund

Category Other Scheme - Other ETFs
NAV 106.7746
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Arbitrage Fund-Regular Plan-Monthly Dividend Reinvestment

Category Hybrid Scheme - Arbitrage Fund
NAV 10.4502
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Arbitrage Fund-Regular Plan-Monthly Dividend Payout

Category Hybrid Scheme - Arbitrage Fund
NAV 10.4502
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Arbitrage Fund-Regular Plan-Growth

Category Hybrid Scheme - Arbitrage Fund
NAV 10.9276
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Arbitrage Fund-Direct Plan-Monthly Dividend Reinvstment

Category Hybrid Scheme - Arbitrage Fund
NAV 10.5630
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Arbitrage Fund-Direct Plan-Monthly Dividend Payout

Category Hybrid Scheme - Arbitrage Fund
NAV 10.5630
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Arbitrage Fund-Direct Plan-Growth

Category Hybrid Scheme - Arbitrage Fund
NAV 11.0426
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Balanced Advantage Fund-Regular Plan-Growth

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 9.9786
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Balanced Advantage Fund-Regular Plan-Dividend Reinvestment

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 9.9786
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Balanced Advantage Fund-Regular Plan-Dividend Payout

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 9.9786
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Balanced Advantage Fund-Direct Plan-Growth

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 10.2212
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Balanced Advantage Fund-Direct Plan-Dividend Reinvestment

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 10.2212
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Balanced Advantage Fund-Direct Plan-Dividend Payout

Category Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
NAV 10.2212
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Hybrid Equity Fund Regular Plan - Dividend Option

Category Hybrid Scheme - Aggressive Hybrid Fund
NAV 53.5274
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Hybrid Equity Fund -Direct Plan-Dividend Option

Category Hybrid Scheme - Aggressive Hybrid Fund
NAV 58.5052
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Hybrid Equity Fund -Direct Plan- Monthly Dividend option

Category Hybrid Scheme - Aggressive Hybrid Fund
NAV 50.8404
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Hybrid Equity Fund -Direct Plan- Growth

Category Hybrid Scheme - Aggressive Hybrid Fund
NAV 191.3179
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Hybrid Equity Fund Regular Plan- Monthly Dividend Option

Category Hybrid Scheme - Aggressive Hybrid Fund
NAV 46.6061
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Hybrid Equity Fund Regular Plan - Growth

Category Hybrid Scheme - Aggressive Hybrid Fund
NAV 179.1677
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Banking & PSU Debt Fund-Regular Plan-Growth

Category Debt Scheme - Banking and PSU Fund
NAV 10.4402
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Banking & PSU Debt Fund-Regular Plan-Dividend Reinvestment

Category Debt Scheme - Banking and PSU Fund
NAV 10.4402
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Banking & PSU Debt Fund-Regular Plan-Dividend Payout

Category Debt Scheme - Banking and PSU Fund
NAV 10.4402
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Banking & PSU Debt Fund-Direct Plan-Growth

Category Debt Scheme - Banking and PSU Fund
NAV 10.4740
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Banking & PSU Debt Fund-Direct Plan-Dividend Reinvestment

Category Debt Scheme - Banking and PSU Fund
NAV 10.4740
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Banking & PSU Debt Fund-Direct Plan-Dividend Payout

Category Debt Scheme - Banking and PSU Fund
NAV 10.4740
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Corporate Bond Fund-Regular Plan - Weekly Dividend

Category Debt Scheme - Corporate Bond Fund
NAV 608.3089
Repurchase Price
Sale Price
Date 13-Dec-2019




b

Tata Corporate Bond Fund - Regular Plan - Weekly Dividend (Segregated Portfolio 1)

Category Debt Scheme - Corporate Bond Fund
NAV 97.3286
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Corporate Bond Fund -Regular Plan - Monthly Dividend

Category Debt Scheme - Corporate Bond Fund
NAV 602.8030
Repurchase Price
Sale Price
Date 13-Dec-2019




b

Tata Corporate Bond Fund - Regular Plan -Monthly Dividend - (Segregated Portfolio 1)

Category Debt Scheme - Corporate Bond Fund
NAV 96.4599
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Corporate Bond Fund -Regular Plan-Growth(Segregated Portfolio 1)

Category Debt Scheme - Corporate Bond Fund
NAV 226.3239
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Corporate Bond Fund -Regular Plan - Growth

Category Debt Scheme - Corporate Bond Fund
NAV 1414.4831
Repurchase Price
Sale Price
Date 13-Dec-2019




b

Tata Corporate Bond Fund-Direct Plan-Daily Dividend (Segregated Portfolio 1)

Category Debt Scheme - Corporate Bond Fund
NAV 97.3238
Repurchase Price
Sale Price
Date 08-May-2020




b

Tata Corporate Bond Fund- Direct Plan-Weekly Dividend

Category Debt Scheme - Corporate Bond Fund
NAV 612.6831
Repurchase Price
Sale Price
Date 13-Dec-2019




b

Tata Corporate Bond Fund- Direct Plan-Monthly Dividend

Category Debt Scheme - Corporate Bond Fund
NAV 606.6834
Repurchase Price
Sale Price
Date 13-Dec-2019




b

Tata Corporate Bond Fund- Direct Plan-Growth

Category Debt Scheme - Corporate Bond Fund
NAV 1480.3342
Repurchase Price
Sale Price
Date 13-Dec-2019