NAV (direct) : 28.1969
(27.9618)NAV (regular) : 26.9234
(26.6996)Idfc Asset Allocation Aggressive net asset value or NAV jumped from 27.9618 to 28.1969 since last working day
Idfc Asset Allocation Aggressive direct last 1 year returns is 47.76%
Idfc Asset Allocation Aggressive direct last 3 year returns is 7.12%
Idfc Asset Allocation Aggressive direct last 5 year returns is 9.71%
Idfc Asset Allocation Aggressive direct returns since launch is 9.56%
Idfc Asset Allocation Aggressive asset under management or AUM is 12.82 crores
Idfc Asset Allocation Aggressive one year annualised return is 47.76 compared to benchmark S&P BSE 200 TRI(65.00), CRISIL Short-Term Bond TRI(30.00), Domestic Price of Gold(5.00) one year annualised return of 51.05