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Category -
Inception Date -
Benchmark (Tier I) -
Additional Benchmark -
Fund Managers -
Plans -
Options -
Minimun Investment -
SIP
STP
SWP
Exit Load
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AUM

Avg. AUM -Cr.
Month End AUM -Cr.

NAV

Portfolio data as on

Market Capitalization

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Current Asset Allocation

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Portfolio data as on
Fund Name Record Date Individual Quantum (₹ per unit) Non-Individual Quantum (₹ per unit)
SUNDARAM MID CAP FUND - DIRECT IDCW20-Oct-2023 4.0140 4.0140
SUNDARAM MID CAP FUND - REGULAR IDCW20-Oct-2023 3.6790 3.6790
SUNDARAM MID CAP FUND - DIRECT IDCW11-Oct-2024 5.9410 5.9410
SUNDARAM MID CAP FUND - REGULAR IDCW11-Oct-2024 5.4020 5.4020

of ₹

for


Total Investment of would have become


Period Performance ₹ 10,000 Invested Value of ₹ 10,000 a month SIP
Fund (%) Tier I (%) Additional Benchmark (%) Fund (₹) Tier I (₹) Additional Benchmark (₹) Investment (₹) Fund (₹) Tier I (₹)

Past performance may or may not be sustained in future. Returns/investment value are as of . Returns are on a simple annual basis for period less than one year computed using NAV of Regular Plan-Growth Option. Value of 10,000 invested at inception is as on .

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Mutual fund investments are subject to market risks, read all scheme related documents carefully.