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Fund : PPFAS Mutual Fund
Category : Debt - Hybrid
Type : Open Ended
NAV(14/07/2025) 11.1131
Percentage Returns :
1 Month Ago : -0.19%
3 Months Ago : 1.91%
1 Year Ago : 1.67%
PeriodNAV AppreciationBSE SensexNSE Nifty
Calender Year/Quarter(%) Return(%) Return(%) Return
2025 January - March0.96-1.08-0.50
2025 April-June2.088.749.32
2025 July-September0.25-1.71-1.83
2025 October-December0.000.000.00
2025 Total Return3.115.096.11
2024 January - March2.451.982.75
2024 April-June0.726.846.92
2024 July-September1.096.657.57
2024 October-December-1.96-7.26-8.31
2024 Total Return3.018.198.82
2023 January - March0.31-3.08-4.25
2023 April-June0.829.4410.10
2023 July-September1.371.532.03
2023 October-December0.729.7610.74
2023 Total Return3.3918.6719.85
2022 January - March0.330.440.44
2022 April-June-1.09-9.41-9.50
2022 July-September-0.268.638.85
2022 October-December1.295.985.86
2022 Total Return0.134.334.13
2021 January - March0.003.604.96
2021 April-June-0.315.246.23
2021 July-September2.1512.3211.82
2021 October-December-1.66-1.07-1.01
2021 Total Return0.3521.9023.99