Funds Insights
Dashboard
Mutual Funds
Portfolio
Kotak Liquid-Institutional Plan - (Daily Dividend)
Scheme Code
100831
Fund House
Kotak Mahindra Mutual Fund
Scheme Type
Open Ended Schemes
Category
Income
Latest NAV
₹ 1222.81
NAV Date
2013-10-13
ISIN Growth
None
ISIN IDCW
None
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