HDFC Equity Fund -Direct Plan - Dividend Option

3
Latest NAV

52.9990

11 Dec 2019

Day Change

↑ 0.42%

11 Dec 2019

Category

Equity Scheme Multi Cap Fund


HDFC Equity Fund Details

Fund House:HDFC Asset Management Company Limited (Corporate Identification Number - U65991MH1999PLC123027)
Scheme Name:HDFC Equity Fund
Launch Date:08 Dec 1994
Duration:Open Ended
Category:Equity Scheme
Type: Multi Cap Fund
Minimum Investment:For new investors Rs.5000 For existing Rs. 1000

HDFC Equity Fund Historical NAV

DateDayNAV
11 Dec 2019Wednesday₹ 52.9990
10 Dec 2019Tuesday₹ 52.7740
09 Dec 2019Monday₹ 53.3680
06 Dec 2019Friday₹ 53.3310
05 Dec 2019Thursday₹ 54.1630
04 Dec 2019Wednesday₹ 54.4470
03 Dec 2019Tuesday₹ 54.0700
02 Dec 2019Monday₹ 54.6340
29 Nov 2019Friday₹ 54.7960
28 Nov 2019Thursday₹ 55.2870
27 Nov 2019Wednesday₹ 54.7590
26 Nov 2019Tuesday₹ 54.6130
25 Nov 2019Monday₹ 54.8250
22 Nov 2019Friday₹ 54.3020
21 Nov 2019Thursday₹ 54.3490
20 Nov 2019Wednesday₹ 54.7390
19 Nov 2019Tuesday₹ 54.3610
18 Nov 2019Monday₹ 54.0450
15 Nov 2019Friday₹ 53.7940
14 Nov 2019Thursday₹ 53.5580
13 Nov 2019Wednesday₹ 53.5490
11 Nov 2019Monday₹ 54.3220
08 Nov 2019Friday₹ 54.0920
07 Nov 2019Thursday₹ 54.6500
06 Nov 2019Wednesday₹ 54.6640
05 Nov 2019Tuesday₹ 54.4620
04 Nov 2019Monday₹ 54.6860
01 Nov 2019Friday₹ 54.3640
31 Oct 2019Thursday₹ 54.2710
30 Oct 2019Wednesday₹ 53.8070
29 Oct 2019Tuesday₹ 53.3360
25 Oct 2019Friday₹ 52.4690
24 Oct 2019Thursday₹ 52.0080
23 Oct 2019Wednesday₹ 52.5210
22 Oct 2019Tuesday₹ 52.3000
18 Oct 2019Friday₹ 52.4820
17 Oct 2019Thursday₹ 51.8620
16 Oct 2019Wednesday₹ 51.3190
15 Oct 2019Tuesday₹ 51.2210
14 Oct 2019Monday₹ 50.9350
11 Oct 2019Friday₹ 50.9010
10 Oct 2019Thursday₹ 50.6500
09 Oct 2019Wednesday₹ 51.1750
07 Oct 2019Monday₹ 50.2780
04 Oct 2019Friday₹ 50.8970
03 Oct 2019Thursday₹ 51.5650
01 Oct 2019Tuesday₹ 51.5660
30 Sep 2019Monday₹ 52.3030
27 Sep 2019Friday₹ 52.6110
26 Sep 2019Thursday₹ 53.0230
25 Sep 2019Wednesday₹ 52.2510
24 Sep 2019Tuesday₹ 53.1660
23 Sep 2019Monday₹ 53.4470
20 Sep 2019Friday₹ 52.0170
19 Sep 2019Thursday₹ 49.7400
18 Sep 2019Wednesday₹ 50.5230
17 Sep 2019Tuesday₹ 50.2890
16 Sep 2019Monday₹ 51.3520
13 Sep 2019Friday₹ 51.8190
12 Sep 2019Thursday₹ 51.2700
11 Sep 2019Wednesday₹ 51.3640
09 Sep 2019Monday₹ 51.1260
06 Sep 2019Friday₹ 50.8440
05 Sep 2019Thursday₹ 50.3080
04 Sep 2019Wednesday₹ 50.0430
03 Sep 2019Tuesday₹ 49.4830
30 Aug 2019Friday₹ 50.6090
29 Aug 2019Thursday₹ 50.2910
28 Aug 2019Wednesday₹ 50.7040
27 Aug 2019Tuesday₹ 51.0950
26 Aug 2019Monday₹ 50.5750
23 Aug 2019Friday₹ 49.6230
22 Aug 2019Thursday₹ 49.1530
21 Aug 2019Wednesday₹ 50.1600
20 Aug 2019Tuesday₹ 50.9230
19 Aug 2019Monday₹ 51.3490
16 Aug 2019Friday₹ 51.3250
14 Aug 2019Wednesday₹ 51.0780
13 Aug 2019Tuesday₹ 50.3340
09 Aug 2019Friday₹ 51.2850
08 Aug 2019Thursday₹ 51.1790
07 Aug 2019Wednesday₹ 50.4130
06 Aug 2019Tuesday₹ 51.1030
05 Aug 2019Monday₹ 50.6240
02 Aug 2019Friday₹ 51.3940
01 Aug 2019Thursday₹ 51.6810
31 Jul 2019Wednesday₹ 52.5640
30 Jul 2019Tuesday₹ 52.1910
29 Jul 2019Monday₹ 52.9240
26 Jul 2019Friday₹ 53.2060

Funds under same scheme: