Kotak Standard Multicap Fund - Dividend - Direct

4
Latest NAV

24.9550

11 Dec 2019

Day Change

↑ 0.42%

11 Dec 2019

Category

Equity Scheme Multi Cap Fund


Kotak Standard Multicap Fund Details

Fund House:Kotak Mahindra Asset Management Company Limited(KMAMCL)
Scheme Name:Kotak Standard Multicap Fund
Launch Date:22 Jul 2009
Duration:Open Ended
Category:Equity Scheme
Type: Multi Cap Fund
Minimum Investment:5000

Kotak Standard Multicap Fund Historical NAV

DateDayNAV
11 Dec 2019Wednesday₹ 24.9550
10 Dec 2019Tuesday₹ 24.8490
09 Dec 2019Monday₹ 25.0390
06 Dec 2019Friday₹ 25.0060
05 Dec 2019Thursday₹ 25.1870
04 Dec 2019Wednesday₹ 25.2930
03 Dec 2019Tuesday₹ 25.2450
02 Dec 2019Monday₹ 25.3990
29 Nov 2019Friday₹ 25.3780
28 Nov 2019Thursday₹ 25.5250
27 Nov 2019Wednesday₹ 25.3680
26 Nov 2019Tuesday₹ 25.2260
25 Nov 2019Monday₹ 25.2900
22 Nov 2019Friday₹ 25.0480
21 Nov 2019Thursday₹ 25.2110
20 Nov 2019Wednesday₹ 25.3150
19 Nov 2019Tuesday₹ 25.1250
18 Nov 2019Monday₹ 25.0740
15 Nov 2019Friday₹ 25.1220
14 Nov 2019Thursday₹ 25.0930
13 Nov 2019Wednesday₹ 25.0140
11 Nov 2019Monday₹ 25.1080
08 Nov 2019Friday₹ 25.0290
07 Nov 2019Thursday₹ 25.0990
06 Nov 2019Wednesday₹ 24.9820
05 Nov 2019Tuesday₹ 24.8500
04 Nov 2019Monday₹ 24.9970
01 Nov 2019Friday₹ 24.9550
31 Oct 2019Thursday₹ 24.9530
30 Oct 2019Wednesday₹ 24.9160
29 Oct 2019Tuesday₹ 24.7310
25 Oct 2019Friday₹ 24.3510
24 Oct 2019Thursday₹ 24.3860
23 Oct 2019Wednesday₹ 24.4220
22 Oct 2019Tuesday₹ 24.3970
18 Oct 2019Friday₹ 24.4180
17 Oct 2019Thursday₹ 24.2330
16 Oct 2019Wednesday₹ 23.9710
15 Oct 2019Tuesday₹ 23.9080
14 Oct 2019Monday₹ 23.7670
11 Oct 2019Friday₹ 23.6890
10 Oct 2019Thursday₹ 23.6210
09 Oct 2019Wednesday₹ 23.8050
07 Oct 2019Monday₹ 23.4090
04 Oct 2019Friday₹ 23.5230
03 Oct 2019Thursday₹ 23.8290
01 Oct 2019Tuesday₹ 23.9540
30 Sep 2019Monday₹ 24.2080
27 Sep 2019Friday₹ 24.3480
26 Sep 2019Thursday₹ 24.4660
25 Sep 2019Wednesday₹ 24.1640
24 Sep 2019Tuesday₹ 25.9630
23 Sep 2019Monday₹ 26.0260
20 Sep 2019Friday₹ 25.3010
19 Sep 2019Thursday₹ 23.9690
18 Sep 2019Wednesday₹ 24.3020
17 Sep 2019Tuesday₹ 24.2070
16 Sep 2019Monday₹ 24.6190
13 Sep 2019Friday₹ 24.7440
12 Sep 2019Thursday₹ 24.5100
11 Sep 2019Wednesday₹ 24.5500
09 Sep 2019Monday₹ 24.4490
06 Sep 2019Friday₹ 24.3210
05 Sep 2019Thursday₹ 24.1340
04 Sep 2019Wednesday₹ 24.1020
03 Sep 2019Tuesday₹ 23.9890
30 Aug 2019Friday₹ 24.4810
29 Aug 2019Thursday₹ 24.3200
28 Aug 2019Wednesday₹ 24.5310
27 Aug 2019Tuesday₹ 24.6690
26 Aug 2019Monday₹ 24.5070
23 Aug 2019Friday₹ 24.0080
22 Aug 2019Thursday₹ 23.8430
21 Aug 2019Wednesday₹ 24.2090
20 Aug 2019Tuesday₹ 24.4170
19 Aug 2019Monday₹ 24.5680
16 Aug 2019Friday₹ 24.5100
14 Aug 2019Wednesday₹ 24.4430
13 Aug 2019Tuesday₹ 24.1550
09 Aug 2019Friday₹ 24.5250
08 Aug 2019Thursday₹ 24.3600
07 Aug 2019Wednesday₹ 24.0710
06 Aug 2019Tuesday₹ 24.2850
05 Aug 2019Monday₹ 23.9930
02 Aug 2019Friday₹ 24.3200
01 Aug 2019Thursday₹ 24.2970
31 Jul 2019Wednesday₹ 24.6040
30 Jul 2019Tuesday₹ 24.5110
29 Jul 2019Monday₹ 24.8070
26 Jul 2019Friday₹ 24.9260

Funds under same scheme: