an

ICICI Prudential Interval Fund Annual Interval Plan II - Growth

Category Income
NAV 23.3622
Repurchase Price N.A.
Sale Price N.A.
Date 14-Nov-2017




an

ICICI Prudential Interval Fund Annual Interval Plan II - Dividend

Category Income
NAV 11.8549
Repurchase Price N.A.
Sale Price N.A.
Date 21-Oct-2013




an

ICICI Prudential Interval Fund Annual Interval Plan II - Direct Plan - Growth

Category Income
NAV 23.4449
Repurchase Price N.A.
Sale Price N.A.
Date 14-Nov-2017




an

ICICI Prudential Interval Fund - Annual Interval Plan II - Retail Growth

Category Income
NAV 22.6497
Repurchase Price N.A.
Sale Price N.A.
Date 14-Nov-2017




an

ICICI Prudential Interval Fund - Annual Interval Plan II - Retail Dividend

Category Income
NAV 11.9883
Repurchase Price N.A.
Sale Price N.A.
Date 14-Nov-2017




an

ICICI Prudential Interval Fund Annual Interval Plan I - Dividend

Category Income
NAV 10.8172
Repurchase Price N.A.
Sale Price N.A.
Date 26-Sep-2017




an

ICICI Prudential Interval Fund Annual Interval Plan I - Direct Plan - Growth

Category Income
NAV 18.0131
Repurchase Price N.A.
Sale Price N.A.
Date 26-Sep-2017




an

ICICI Prudential Interval Fund Annual Interval Plan I - Direct Plan - Dividend

Category Income
NAV N.A.
Repurchase Price N.A.
Sale Price N.A.
Date 09-Jan-2013




an

ICICI Prudential Interval Fund Annual Interval Plan I - Growth

Category Income
NAV 17.9830
Repurchase Price N.A.
Sale Price N.A.
Date 26-Sep-2017




an

ICICI Prudential Interval Fund Annual Interval Plan - I - Direct Plan Bonus

Category Income
NAV 12.6280
Repurchase Price N.A.
Sale Price N.A.
Date 26-Sep-2017




an

ICICI Prudential Interval Fund - Annual Interval Plan I - Retail Growth

Category Income
NAV 22.5035
Repurchase Price N.A.
Sale Price N.A.
Date 26-Sep-2017




an

ICICI Prudential Interval Fund - Annual Interval Plan I - Retail Dividend

Category Income
NAV 10.7894
Repurchase Price N.A.
Sale Price N.A.
Date 26-Sep-2017




an

ICICI Prudential Dynamic Bond Fund - Direct Plan - Quarterly Dividend

Category Income
NAV 10.4779
Repurchase Price 10.3731
Sale Price 10.4779
Date 25-May-2018




an

ICICI Prudential Dynamic Bond Fund - Direct Plan - Bonus Option

Category Income
NAV 20.2300
Repurchase Price 20.0277
Sale Price 20.2300
Date 25-May-2018




an

ICICI Prudential Dynamic Bond Fund - Direct Plan - Annual Dividend

Category Income
NAV 10.6164
Repurchase Price 10.5102
Sale Price 10.6164
Date 25-May-2018




an

ICICI Prudential Dynamic Bond Fund - Direct Plan - Monthly Dividend

Category Income
NAV 10.4618
Repurchase Price 10.3572
Sale Price 10.4618
Date 25-May-2018




an

ICICI Prudential Dynamic Bond Fund - Direct Plan - Half Yearly Dividend

Category Income
NAV 10.2129
Repurchase Price 10.1108
Sale Price 10.2129
Date 25-May-2018




an

ICICI Prudential Dynamic Bond Fund - Direct Plan - Growth

Category Income
NAV 20.4250
Repurchase Price 20.2208
Sale Price 20.4250
Date 25-May-2018




an

ICICI Prudential Dynamic Bond Fund - Direct Plan - Daily Dividend

Category Income
NAV 10.5669
Repurchase Price 10.4612
Sale Price 10.5669
Date 25-May-2018




an

ICICI Prudential Dynamic Bond Fund - Annual Dividend

Category Income
NAV 10.6484
Repurchase Price 10.5419
Sale Price 10.6484
Date 25-May-2018




an

ICICI Prudential Child Care Plan Study - Direct Plan- Cumulative

Category Income
NAV 72.4243
Repurchase Price 70.2516
Sale Price 72.4243
Date 25-May-2018




an

ICICI Prudential Child Care Plan Study - Cumulative

Category Income
NAV 69.6122
Repurchase Price 67.5238
Sale Price 69.6122
Date 25-May-2018




an

ICICI Prudential Blended Plan B-Direct Plan - Daily Dividend Option - I

Category Income
NAV 12.0320
Repurchase Price 11.9718
Sale Price 12.0320
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - option I-Bonus

Category Income
NAV 11.9703
Repurchase Price 11.9104
Sale Price 11.9703
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Half Yearly Dividend Option - I

Category Income
NAV 10.3661
Repurchase Price 10.3143
Sale Price 10.3661
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Direct Plan - Quarterly Dividend Option - I

Category Income
NAV 10.7000
Repurchase Price 10.6465
Sale Price 10.7000
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Direct Plan - Half Yearly Dividend Option - I

Category Income
NAV 10.0227
Repurchase Price N.A.
Sale Price N.A.
Date 26-Sep-2014




an

ICICI Prudential Blended Plan B - Direct Plan - Monthly Dividend Option - I

Category Income
NAV 10.3063
Repurchase Price 10.2548
Sale Price 10.3063
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Direct Plan - Growth Option - I

Category Income
NAV 24.0808
Repurchase Price 23.9604
Sale Price 24.0808
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Direct Plan - Dividend Option - I

Category Income
NAV 17.7362
Repurchase Price 17.6475
Sale Price 17.7362
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Daily Dividend Option - I

Category Income
NAV 12.4926
Repurchase Price 12.4301
Sale Price 12.4926
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Monthly Dividend Option - I

Category Income
NAV 10.2660
Repurchase Price 10.2147
Sale Price 10.2660
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Growth Option - I

Category Income
NAV 23.9631
Repurchase Price 23.8433
Sale Price 23.9631
Date 07-Oct-2016




an

ICICI Prudential Blended Plan B - Dividend Option - I

Category Income
NAV 15.0425
Repurchase Price 14.9673
Sale Price 15.0425
Date 07-Oct-2016




an

Taurus Nifty Index Fund-Direct Plan-Growth Option

Category Other Scheme - Index Funds
NAV 18.2402
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Nifty Index Fund-Direct Plan-Dividend Option

Category Other Scheme - Index Funds
NAV 17.0795
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Nifty Index Fund - Regular Plan - Growth Option

Category Other Scheme - Index Funds
NAV 17.3450
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Nifty Index Fund - Regular Plan - Dividend Option

Category Other Scheme - Index Funds
NAV 11.0574
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Liquid Fund-Direct Plan-SI Weekly Dividend Option

Category Debt Scheme - Liquid Fund
NAV 1001.2606
Repurchase Price
Sale Price
Date 30-Dec-2019




an

Taurus Liquid Fund-Direct Plan-SI Growth Option

Category Debt Scheme - Liquid Fund
NAV 1965.6521
Repurchase Price
Sale Price
Date 10-May-2020




an

Taurus Liquid Fund-Direct Plan-SI Daily Dividend Option

Category Debt Scheme - Liquid Fund
NAV 1000.7592
Repurchase Price
Sale Price
Date 10-May-2020




an

Taurus Liquid Fund - Unclaimed Redemption & Dividend Plan

Category Debt Scheme - Liquid Fund
NAV 1008.8213
Repurchase Price
Sale Price
Date 10-May-2020




an

Taurus Liquid Fund - Regular Plan -SI Daily Dividend Option

Category Debt Scheme - Liquid Fund
NAV 1000.7587
Repurchase Price
Sale Price
Date 10-May-2020




an

Taurus Liquid Fund - Regular Plan - SI Weekly Dividend Option

Category Debt Scheme - Liquid Fund
NAV 1000.6222
Repurchase Price
Sale Price
Date 10-May-2020




an

Taurus Liquid Fund - Regular Plan - SI Growth Option

Category Debt Scheme - Liquid Fund
NAV 1956.3899
Repurchase Price
Sale Price
Date 10-May-2020




an

Taurus Tax Shield-Direct Plan-Growth Option

Category Equity Scheme - ELSS
NAV 69.10
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Tax Shield-Direct Plan-Dividend Option

Category Equity Scheme - ELSS
NAV 31.85
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Tax Shield- Regular Plan -Dividend Option

Category Equity Scheme - ELSS
NAV 30.75
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Tax Shield- Regular Plan - Growth Option

Category Equity Scheme - ELSS
NAV 65.63
Repurchase Price
Sale Price
Date 08-May-2020




an

Taurus Infrastructure Fund-Direct Plan-Growth Option

Category Equity Scheme - Sectoral/ Thematic
NAV 21.36
Repurchase Price
Sale Price
Date 08-May-2020