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6428.75
[2.00]
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1381
[1.08]
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444
[1.25]
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2623.15
[0.20]
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1254.55
[-0.10]
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10451
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267.7
[2.27]
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1883.25
[5.32]
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413.45
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295.1
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5370.9
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1434
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453.8
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2150
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465
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583.2
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1302.8
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163
[-0.15]
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2941.45
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1124.8
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769.6
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5071
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2248.6
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1103.3
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1246.45
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650.5
[2.06]
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906.45
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1095.6
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307.4
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1253.5
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383.15
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3941.05
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2255
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3172
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13097.05
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29.54
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1456.9
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64.58
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93.35
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396.25
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300.8
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104.55
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301.8
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1361.75
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979.55
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338.9
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327.15
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1863
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757.2
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338.85
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221.15
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407.8
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2245.85
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1345.25
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11691.05
[1.03]
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1275
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188.4
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90.7
[2.58]
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NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
Sundaram Consumption Fund
Fund :
Sundaram Mutual Fund
Category :
Equity - Diversified
Type :
Open Ended
NAV(
13/05/2026
)
87.4018
Percentage Returns :
1 Month Ago :
0.69%
3 Months Ago :
-6.04%
1 Year Ago :
-8.02%
Choose Option :
Growth
IDCW
IDCW-Reinvestment
2026
2025
2024
2023
2022
2026
Open :
97.61
Close :
87.40
Return(%) :
-10.46
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
97.6126
90.7309
-7.05
February
90.1455
90.8934
0.82
March
89.5719
80.9650
-9.60
April
82.6846
89.7435
8.53
May
89.7457
87.4018
-2.61
January
97.6126
90.7309
-7.05
February
90.1455
90.8934
0.82
March
89.5719
80.9650
-9.60
April
82.6846
89.7435
8.53
May
89.7457
87.4018
-2.61
January
97.6126
90.7309
-7.05
February
90.1455
90.8934
0.82
March
89.5719
80.9650
-9.60
April
82.6846
89.7435
8.53
May
89.7457
87.4018
-2.61
January
97.6126
90.7309
-7.05
February
90.1455
90.8934
0.82
March
89.5719
80.9650
-9.60
April
82.6846
89.7435
8.53
May
89.7457
87.4018
-2.61
January
97.6126
90.7309
-7.05
February
90.1455
90.8934
0.82
March
89.5719
80.9650
-9.60
April
82.6846
89.7435
8.53
May
89.7457
87.4018
-2.61