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Search Scheme 
Fund : Aditya Birla Sun Life Mutual Fund
Category : Debt - Floaters
Type : Open Ended
NAV(31/12/2025) 100.1825
Percentage Returns :
1 Month Ago : -0.02%
3 Months Ago : -0.07%
1 Year Ago : -0.02%
Choose Option :  
2025
Open :   100.23
Close :   100.18
Return(%) :   -0.04
Month NAV Return
Open (Rs.) Close (Rs.) Percentage
January100.2298100.24450.01
February100.1347100.21500.08
March100.1228100.28820.16
April100.4400100.53040.09
May100.5782100.63470.05
June100.5709100.61310.04
July100.6707100.5417-0.12
August100.5627100.4093-0.15
September100.3219100.2558-0.06
October100.2921100.2240-0.06
November100.1378100.20580.06
December100.1181100.18250.06
January100.2298100.24450.01
February100.1347100.21500.08
March100.1228100.28820.16
April100.4400100.53040.09
May100.5782100.63470.05
June100.5709100.61310.04
July100.6707100.5417-0.12
August100.5627100.4093-0.15
September100.3219100.2558-0.06
October100.2921100.2240-0.06
November100.1378100.20580.06
December100.1181100.18250.06
January100.2298100.24450.01
February100.1347100.21500.08
March100.1228100.28820.16
April100.4400100.53040.09
May100.5782100.63470.05
June100.5709100.61310.04
July100.6707100.5417-0.12
August100.5627100.4093-0.15
September100.3219100.2558-0.06
October100.2921100.2240-0.06
November100.1378100.20580.06
December100.1181100.18250.06
January100.2298100.24450.01
February100.1347100.21500.08
March100.1228100.28820.16
April100.4400100.53040.09
May100.5782100.63470.05
June100.5709100.61310.04
July100.6707100.5417-0.12
August100.5627100.4093-0.15
September100.3219100.2558-0.06
October100.2921100.2240-0.06
November100.1378100.20580.06
December100.1181100.18250.06
January100.2298100.24450.01
February100.1347100.21500.08
March100.1228100.28820.16
April100.4400100.53040.09
May100.5782100.63470.05
June100.5709100.61310.04
July100.6707100.5417-0.12
August100.5627100.4093-0.15
September100.3219100.2558-0.06
October100.2921100.2240-0.06
November100.1378100.20580.06
December100.1181100.18250.06