-->

Lic Mf Debt Hybrid Fund

NAV (direct) : 67.2923

(66.9942)

NAV (regular) : 63.1948

(62.9163)
Hybrid - Conservative Hybrid
Last Updated on 03-Mar-2021

Lic Mf Debt Hybrid Fund net asset value or NAV jumped from 66.9942 to 67.2923 since last working day

Lic Mf Debt Hybrid Fund last 1 year returns is 9.48%

Lic Mf Debt Hybrid Fund last 3 year returns is 7.88%

Lic Mf Debt Hybrid Fund last 5 year returns is 8.54%

Lic Mf Debt Hybrid Fund returns since launch is 8.21%

Lic Mf Debt Hybrid Fund asset under management or AUM is 79.89 crores

Lic Mf Debt Hybrid Fund one year annualised return is 9.48 compared to benchmark CRISIL Hybrid 85+15 Conservative Total Return Index one year annualised return of 12.02

Recommended

Hindustan Unilever Limited

₹ 2099

OPEN: ₹2120 , DAY HIGH: ₹2127.55 , DAY LOW: ₹2090

Sun Pharmaceutical Industries Limited

₹ 523.85

OPEN: ₹517.45 , DAY HIGH: ₹535 , DAY LOW: ₹515

Tech Mahindra Limited

₹ 807.9

OPEN: ₹793 , DAY HIGH: ₹808.8 , DAY LOW: ₹788

Dr. Reddy's Laboratories Limited

₹ 5306

OPEN: ₹5000 , DAY HIGH: ₹5496.95 , DAY LOW: ₹4950.25

Nestle India Limited

₹ 16160

OPEN: ₹16250 , DAY HIGH: ₹16250 , DAY LOW: ₹15925

Downloads