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Scheme Name
NAV
Return(%) YTD
Return(%) 3 Months
Return(%) 6 Months
Return(%) 1 Year
Return(%) 3 Years
Return(%) 5 Years
Aditya Birla SL Pure Value Fund - Direct (G)
141.71
19.73
-5.24
4.29
24.63
24.01
23.53
Aditya Birla SL Pure Value Fund (G)
126.47
18.73
-5.44
3.85
23.55
22.92
22.39
AXIS Value Fund - Direct (G)
19.16
29.02
-3.77
7.70
33.33
24.33
NA
AXIS Value Fund (G)
18.30
27.26
-4.14
6.89
31.47
22.56
NA
Bandhan Sterling Value Fund - Direct (G)
163.69
18.98
-7.72
0.24
23.16
21.25
26.79
Bandhan Sterling Value Fund (G)
145.24
17.74
-7.96
-0.30
21.84
19.94
25.42
Baroda BNP Paribas Value Fund - Direct (G)
14.24
15.97
-8.13
-1.59
20.94
NA
NA
Baroda BNP Paribas Value Fund - Regular (G)
13.90
14.26
-8.41
-2.23
19.10
NA
NA
Canara Robeco Value Fund - Direct (G)
18.84
19.09
-7.60
2.61
22.42
24.22
NA
Canara Robeco Value Fund (G)
17.87
17.33
-7.93
1.82
20.58
22.25
NA
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