HDFC Top 100 Fund -Direct Plan - Growth Option

4
Latest NAV

485.4830

20 Aug 2019

Day Change

↓ -0.82%

20 Aug 2019

Category

Equity Scheme Large Cap Fund


HDFC Top 100 Fund Details

Fund House:HDFC Asset Management Company Limited (Corporate Identification Number - U65991MH1999PLC123027)
Scheme Name:HDFC Top 100 Fund
Launch Date:19 Aug 1996
Duration:Open Ended
Category:Equity Scheme
Type: Large Cap Fund
Minimum Investment:For new investors Rs.5000 For existing Rs. 1000

HDFC Top 100 Fund Historical NAV

DateDayNAV
20 Aug 2019Tuesday₹ 485.4830
19 Aug 2019Monday₹ 489.4450
16 Aug 2019Friday₹ 489.2070
14 Aug 2019Wednesday₹ 487.5030
13 Aug 2019Tuesday₹ 481.1630
09 Aug 2019Friday₹ 489.0990
08 Aug 2019Thursday₹ 488.6240
07 Aug 2019Wednesday₹ 480.5750
06 Aug 2019Tuesday₹ 486.7880
05 Aug 2019Monday₹ 483.1820
02 Aug 2019Friday₹ 490.0370
01 Aug 2019Thursday₹ 493.0200
31 Jul 2019Wednesday₹ 500.7230
30 Jul 2019Tuesday₹ 497.3160
29 Jul 2019Monday₹ 504.3570
26 Jul 2019Friday₹ 507.8990
25 Jul 2019Thursday₹ 507.3410
24 Jul 2019Wednesday₹ 508.4200
23 Jul 2019Tuesday₹ 513.4230
22 Jul 2019Monday₹ 515.8190
19 Jul 2019Friday₹ 515.9810
18 Jul 2019Thursday₹ 521.4580
17 Jul 2019Wednesday₹ 528.9840
16 Jul 2019Tuesday₹ 528.3600
15 Jul 2019Monday₹ 523.4710
12 Jul 2019Friday₹ 523.3710
11 Jul 2019Thursday₹ 524.6660
10 Jul 2019Wednesday₹ 521.5230
09 Jul 2019Tuesday₹ 524.9100
08 Jul 2019Monday₹ 523.4370
05 Jul 2019Friday₹ 536.6550
04 Jul 2019Thursday₹ 544.0600
03 Jul 2019Wednesday₹ 542.8520
02 Jul 2019Tuesday₹ 541.8050
01 Jul 2019Monday₹ 539.6820
28 Jun 2019Friday₹ 538.9980
27 Jun 2019Thursday₹ 540.8470
26 Jun 2019Wednesday₹ 541.4960
25 Jun 2019Tuesday₹ 537.9230
24 Jun 2019Monday₹ 532.1010
21 Jun 2019Friday₹ 532.3570
20 Jun 2019Thursday₹ 535.4960
19 Jun 2019Wednesday₹ 528.7290
18 Jun 2019Tuesday₹ 529.1800
17 Jun 2019Monday₹ 526.0000
14 Jun 2019Friday₹ 533.3610
13 Jun 2019Thursday₹ 536.1680
12 Jun 2019Wednesday₹ 534.9400
11 Jun 2019Tuesday₹ 537.5500
10 Jun 2019Monday₹ 534.1330
07 Jun 2019Friday₹ 533.1720
06 Jun 2019Thursday₹ 531.9940
04 Jun 2019Tuesday₹ 541.7690
03 Jun 2019Monday₹ 543.1560
31 May 2019Friday₹ 538.1860
30 May 2019Thursday₹ 539.4920
29 May 2019Wednesday₹ 535.2280
28 May 2019Tuesday₹ 540.1230
27 May 2019Monday₹ 539.5490
24 May 2019Friday₹ 532.3390
16 May 2019Thursday₹ 502.3950
15 May 2019Wednesday₹ 496.5850
14 May 2019Tuesday₹ 500.1560
13 May 2019Monday₹ 495.6100
10 May 2019Friday₹ 503.7920
09 May 2019Thursday₹ 504.0460
08 May 2019Wednesday₹ 507.4720
07 May 2019Tuesday₹ 513.6200
06 May 2019Monday₹ 519.7120
03 May 2019Friday₹ 522.3280
02 May 2019Thursday₹ 521.8610
30 Apr 2019Tuesday₹ 524.7670
26 Apr 2019Friday₹ 524.0300
25 Apr 2019Thursday₹ 517.4070
24 Apr 2019Wednesday₹ 521.4150
23 Apr 2019Tuesday₹ 515.1740
22 Apr 2019Monday₹ 515.6560
18 Apr 2019Thursday₹ 522.9400
16 Apr 2019Tuesday₹ 525.1280
15 Apr 2019Monday₹ 522.0310
12 Apr 2019Friday₹ 520.9630
11 Apr 2019Thursday₹ 518.3510
10 Apr 2019Wednesday₹ 518.5260
09 Apr 2019Tuesday₹ 522.8010
08 Apr 2019Monday₹ 518.7270
05 Apr 2019Friday₹ 521.9910
04 Apr 2019Thursday₹ 519.7550
03 Apr 2019Wednesday₹ 522.1270
02 Apr 2019Tuesday₹ 528.0220
01 Apr 2019Monday₹ 526.1520

Funds under same scheme: