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Mirae Asset Focused Fund

NAV (direct) : 16.0460

(16.0070)

NAV (regular) : 15.5820

(15.5460)
Equity - Focussed
Last Updated on 24-Feb-2021

Mirae Asset Focused Fund net asset value or NAV jumped from 16.0070 to 16.0460 since last working day

Mirae Asset Focused Fund last 1 year returns is 32.44%

Mirae Asset Focused Fund last 3 year returns is NA%

Mirae Asset Focused Fund last 5 year returns is NA%

Mirae Asset Focused Fund returns since launch is 30.41%

Mirae Asset Focused Fund asset under management or AUM is 5,234.12 crores

Mirae Asset Focused Fund one year annualised return is 32.44 compared to benchmark NIFTY 200 Total Return Index one year annualised return of 23.34

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