Market Watch

MIDCAP FUND

NAV as on 20 Sep 2019

Baroda Midcap Fund

8.65
.41 (4.98%)
NAV as on 20 Sep 2019

Baroda Midcap Fund

8.65
.41 (4.98%)
NAV as on 20 Sep 2019

Axis Midcap Fund

23.68
1.25 (5.57%)
NAV as on 20 Sep 2019

Axis Midcap Fund

37.13
1.97 (5.60%)
NAV as on 20 Sep 2019

L&T Midcap Fund

36.62
1.90 (5.47%)
NAV as on 20 Sep 2019

L&T Midcap Fund

126.01
6.55 (5.48%)
ET Prime Distribution
    • There are no records on Midcap Fund
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