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Idfc Asset Allocation Aggressive

NAV (direct) : 28.4883

(28.2658)

NAV (regular) : 27.2185

(27.0079)
Other - Fund Of Funds
Last Updated on 02-Mar-2021

Idfc Asset Allocation Aggressive net asset value or NAV jumped from 28.2658 to 28.4883 since last working day

Idfc Asset Allocation Aggressive last 1 year returns is 18.94%

Idfc Asset Allocation Aggressive last 3 year returns is 6.99%

Idfc Asset Allocation Aggressive last 5 year returns is 10.57%

Idfc Asset Allocation Aggressive returns since launch is 9.78%

Idfc Asset Allocation Aggressive asset under management or AUM is 12.80 crores

Idfc Asset Allocation Aggressive one year annualised return is 18.94 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 21.84

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