
Aditya Birla Sun Life Multi - Index Fund of Funds-Direct Growth
4/10/2024
15.5762
27/8/2024
15.5587
4/10/2024
15.5762
27/8/2024
15.5587
2/8/2024
15.3524
29/7/2024
15.3925
22/7/2024
15.164
16/7/2024
15.4136
14/6/2024
14.8875
10/6/2024
14.5644
7/6/2024
14.5281
5/6/2024
14.1289
4/6/2024
13.9707
3/6/2024
14.7075
31/5/2024
14.3149
29/5/2024
14.3874
28/5/2024
14.4212
27/5/2024
14.4887
24/5/2024
14.4769
22/5/2024
14.4283
21/5/2024
14.4024
17/5/2024
14.2398
15/5/2024
14.0378
14/5/2024
13.9601
13/5/2024
13.8377
10/5/2024
13.8417
8/5/2024
13.9219
7/5/2024
13.8423
6/5/2024
14.0149
3/5/2024
14.1154
30/4/2024
14.057
29/4/2024
14.0184
26/4/2024
13.979
24/4/2024
13.8387
23/4/2024
13.7683
22/4/2024
13.7581
19/4/2024
13.6768
16/4/2024
13.7305
15/4/2024
13.7055
12/4/2024
13.837
10/4/2024
13.8465
9/4/2024
13.7694
8/4/2024
13.7772
5/4/2024
13.7034
3/4/2024
13.6547
2/4/2024
13.6031
1/4/2024
13.5134
31/3/2024
13.3163
28/3/2024
13.3165
27/3/2024
13.2267
26/3/2024
13.2077
22/3/2024
13.1684
20/3/2024
12.9372
19/3/2024
12.9206
18/3/2024
13.0316
15/3/2024
13.0276
13/3/2024
12.9246
12/3/2024
13.315
11/3/2024
13.4444
7/3/2024
13.5245
6/3/2024
13.4498
5/3/2024
13.5155
4/3/2024
13.5119
1/3/2024
13.3831
28/2/2024
13.2347
27/2/2024
13.3958
26/2/2024
13.3999
23/2/2024
13.418
21/2/2024
13.2976
20/2/2024
13.4046
16/2/2024
13.3948
14/2/2024
13.1994
13/2/2024
13.0939
12/2/2024
13.0436
9/2/2024
13.2876
7/2/2024
13.3833
6/2/2024
13.3137
5/2/2024
13.2239
2/2/2024
13.206
1/2/2024
13.0903
31/1/2024
13.0904
30/1/2024
12.9544
29/1/2024
12.9792
25/1/2024
12.8041
24/1/2024
12.8006
23/1/2024
12.6526
19/1/2024
12.8852
18/1/2024
12.778
17/1/2024
12.7997
16/1/2024
12.9457
15/1/2024
12.988
12/1/2024
12.9383
11/1/2024
12.8799
10/1/2024
12.844
9/1/2024
12.8431
8/1/2024
12.8209
5/1/2024
12.8878
4/1/2024
12.8555
3/1/2024
12.7639
2/1/2024
12.7643
1/1/2024
12.7849
29/12/2023
12.7475
28/12/2023
12.7087
27/12/2023
12.6468
26/12/2023
12.5936
22/12/2023
12.5442
21/12/2023
12.4663
20/12/2023
12.3599
19/12/2023
12.5884
18/12/2023
12.6
15/12/2023
12.5747
14/12/2023
12.5258
13/12/2023
12.4071
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