Nav of hdfc capital builder fund

My investment would be worth 2,41, with a Gain of % Start SIP MF Portfolio Check out the summarised asset allocation along with detailed holdings of stocks in case of Equity . Now for the growth option, today's. Let's take an example, a mutual fund was priced (NAV) at Rs one year back and fund gave 20% returns in last 1 year. Once you invest in mutual funds, your money is further invested in stocks and bonds by mutual fund managers. Mutual Fund NAV is the. Nov 04, · NAV is declared once each day generally at the end of the day. Fund Manager Mr. Gopal Agrawal (Since January 13, ) Collectively over 17 years of experience in Fund Management and 2 years in Equity Research View other funds Managed . Current NAV: The Current Net Asset Value of the HDFC Capital Builder Value Fund as of Nov 04, is Rs for Growth option of its Regular. 1.

  • Find detailed report in terms of 52 week high/low, charts, news, scheme details, peer scheme comparison, dividend history, return calculator and more. Get HDFC Capital Builder Value Fund - (G) share prices, along with historic price charts for NSE/BSE.
  • Sep 23,  · HDFC Capital Builder Value Fund - Growth Plan 3 Value NAV 23 September, Annualized Returns (5 Yr) % Double Money In 7Y 3M . Find detailed report in terms of 52 week high/low. Get HDFC Capital Builder Value Fund - (G) share prices, along with historic price charts for NSE/BSE. Oct 28, · Performance of HDFC Capital Builder Value Fund for last 3 Years Fund Information NAV ₹ as on Plan - Option Regular - Growth Our Rank 11 / 17 Minimum Investment ₹ 5, Assets Size ₹ 5, Cr. as on Expense Ratio % Inception Date Category Equity - Value Fund Scheme Benchmark Nifty TRI Fund House. HDFC Capital Builder Value Fund -Direct Plan . Oct 23,  · It is obtained by dividing the difference between the firm's total assets and liabilities by the number of outstanding units in the fund. The NAV of HDFC Capital Builder Value Fund Growth is ₹ as of 04 Nov What is the PE and PB ratio of HDFC Capital Builder Value Fund Growth. The scheme seeks to achieve capital appreciation/income in the long term by primarily investing i. Nov 04, · Get the latest information and complete track record of 'HDFC Capital Builder Value Fund' schemes, returns, latest NAV and ratings from independent mutual fund research house. Returns: Its . Oct 27,  · Current NAV: The Current Net Asset Value of the HDFC Capital Builder Value Fund as of Oct 27, is Rs for Growth option of its Regular plan. 2. Key parameters 1) HDFC Capital Builder Value Fund -Direct Plan - Growth Option has a NAV of ₹ as on . Oct 14,  · The fund could potentially beat inflation in the long-run. Risk info. ₹4,60, invested across 3 years. low. Return Details arrow. This fund has Very High Risk. HDFC Capital Builder Value Fund has an ET Money Rank of # 10 of 13 and a consistency rating of 3. Oct 31, · The NAV of HDFC Capital Builder Value Fund for Oct 31, is Should I invest in HDFC Capital Builder Value Fund? It is calculated by taking the current value of the holdings of the fund at end of the day, subtracting the expenses. The NAV of a Mutual Fund changes every day. This fund has been in existence for 28 yrs 10 m, having been launched on 16/12/ HDFC Capital Builder Value Fund-Growth has ₹5, Crores worth of assets under management (AUM) as on 30/09/ and is medium-sized fund of its category. Nov 01, · HDFC Capital Builder Value Fund-Growth is a Value Oriented mutual fund scheme from Hdfc Mutual Fund. Historical Mutual Fund NAV of HDFC Capital Builder Value Gr ; , ; , ; , ; ,
  • Nav of hdfc capital builder fund
  • 5, , HDFC Capital Builder Value Fund(G) ; L&T India Value Fund-Reg(G), , Lakhs. 3, , % ; UTI Value Opp Fund-Reg(G), , Lakhs. HDFC Capital Builder Value Fund Direct Plan-Growth. It has an AUM of ₹5, Crores and the latest NAV decalared is ₹ as on at pm.