|NAV: 01 Jul 2019||₹12.82|
|Min. SIP amount||NA|
Average of the yearly returns of a mutual fund over a given period.
The total return of a mutual fund over a given period.
|Rank with in category||NA||342||8||NA|
Sprit Infrapower and Multiventures Pvt. Ltd.
Edisons Infrapower and Multiventures Pvt. Ltd.
Inclusive of GST
0.005% (from July 1st, 2020)
|Min. for 1st investment||NA|
|Min. for 2nd investment onwards||NA|
|Min. for SIP||NA|
|Rank (total assets)||#2 in India|
|Date of Incorporation||30 Jun 2000|
|Fund benchmark||CRISIL Composite Bond Index|