PPFAS Asset Management Pvt. Ltd

Filter Criteria
Category:
Distribution Type:
Structure:
 
Total Funds: 20   
Page  of  1   
Fund Name
Category
Distribution Type
Structure
Latest NAV(NAV Date)
Conservative Allocation
Growth
Open Ended
10.4825 (27/01/2022)
Conservative Allocation
Dividend/Bonus
Open Ended
10.0868 (27/01/2022)
Conservative Allocation
Dividend/Bonus
Open Ended
10.0868 (27/01/2022)
Conservative Allocation
Growth
Open Ended
10.4610 (27/01/2022)
Conservative Allocation
Dividend/Bonus
Open Ended
10.1710 (27/01/2022)
Conservative Allocation
Dividend/Bonus
Open Ended
10.1710 (27/01/2022)
Liquid
Growth
Open Ended
1179.5786 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1005.7730 (27/01/2022)
Liquid
Growth
Open Ended
1184.1037 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1000.5404 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1001.2767 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1005.8577 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1005.8577 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1000.5404 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1001.2684 (27/01/2022)
Liquid
Dividend/Bonus
Open Ended
1005.7730 (27/01/2022)
ELSS (Tax Savings)
Growth
Open Ended
19.1854 (27/01/2022)
ELSS (Tax Savings)
Growth
Open Ended
18.5984 (27/01/2022)
Flexi Cap
Growth
Open Ended
48.7607 (27/01/2022)
Flexi Cap
Growth
Open Ended
51.6695 (27/01/2022)
Page of 1   

Top
Mutual Fund Tools
Ask Morningstar
Feedback