Aristro Capital Markets Ltd.
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Category Returns
Scheme Name
 
NAV (Rs.)  As
(On 29-08-25)
Inception
(Date)
1 Year
(%)
3 Years
(%)
5 Years
(%)
Since Inception
(%)
Nippon India Taiwan Equity Fund-Reg(G) 15.39 11-Dec-21 37.16 27.95 NA 12.30
ICICI Pru NASDAQ 100 Index Fund(G) 17.59 18-Oct-21 26.46 26.62 NA 15.73
Motilal Oswal S&P 500 Index Fund-Reg(G) 25.42 28-Apr-20 21.03 20.47 17.07 19.09
Nippon India US Equity Opp Fund(G) 36.22 23-Jul-15 14.59 17.24 12.35 13.58
ICICI Pru US Bluechip Equity Fund(G) 67.56 06-Jul-12 7.24 16.11 14.16 15.63
Nippon India Japan Equity Fund(G) 21.68 26-Aug-14 12.32 15.51 9.04 7.27
Aditya Birla SL Intl. Equity Fund(G) 43.89 31-Oct-07 24.17 15.38 12.00 8.64
Franklin Asian Equity Fund(G) 31.76 17-Jan-08 12.05 8.63 3.18 6.77
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Member: NSE CAPITAL MARKET: INB231498438 | NSE FUTURE & OPTION: INF231498438 | BSE CAPITAL MARKET: INB011498434 | BSE FUTURE MARKET: INF011498434 | DP REGN No.:IN-DP-CDSL-704-2013 | Single SEBI Registration nos.: NSE & BSE: INZ000219238 | DP CDSL: IN-DP-407-2019
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