IIFL Asset Management Limited

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Total Funds: 27   
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Fund Name
Category
Distribution Type
Structure
Latest NAV(NAV Date)
Dynamic Bond
Dividend/Bonus
Open Ended
12.1473 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
15.1558 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
14.9342 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
11.6543 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
14.9342 (06/12/2019)
Focused Fund
Dividend/Bonus
Open Ended
18.5883 (06/12/2019)
Focused Fund
Dividend/Bonus
Open Ended
15.5759 (06/12/2019)
Liquid
Dividend/Bonus
Open Ended
1005.5422 (08/12/2019)
Liquid
Dividend/Bonus
Open Ended
1005.5382 (08/12/2019)
Liquid
Dividend/Bonus
Open Ended
1005.5422 (08/12/2019)
Focused Fund
Growth
Open Ended
17.6056 (06/12/2019)
Focused Fund
Dividend/Bonus
Open Ended
15.5759 (06/12/2019)
Focused Fund
Growth
Open Ended
18.7801 (06/12/2019)
Focused Fund
Dividend/Bonus
Open Ended
18.5883 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
15.1558 (06/12/2019)
Liquid
Dividend/Bonus
Open Ended
1000.0701 (06/12/2019)
Liquid
Dividend/Bonus
Open Ended
1005.5382 (08/12/2019)
Liquid
Growth
Open Ended
1521.4359 (08/12/2019)
Liquid
Dividend/Bonus
Open Ended
1000.0427 (06/12/2019)
Liquid
Growth
Open Ended
1516.8168 (08/12/2019)
Dynamic Bond
Growth
Open Ended
15.4760 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
15.4760 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
11.6543 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
14.9342 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
14.9342 (06/12/2019)
Dynamic Bond
Growth
Open Ended
16.0345 (06/12/2019)
Dynamic Bond
Dividend/Bonus
Open Ended
12.1473 (06/12/2019)
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