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India
India

inr/usd

0.0137
Live Rate
0 (0%)
Change
19 January 2021
Time 19:29:09
0 (1.48%)
Change / 3 Month
0 (2.24%)
Change / 6 Month
0 (2.84%)
Annual Fluctuation

Nifty 100

24
Live Rate
0 (0%)
Change
27 January 2021
Time 14:03:08
1 (4.78%)
Change / 3 Month
1 (3.17%)
Change / 6 Month
7 (41.02%)
Annual Fluctuation

India

Indicator Value Previous Low High Change Change % Time Chart
HDFC Liquid Fund Growth 3995.717 3995.717 3995.717 3995.717 0.41 0.01% 2021/01/28 Time 1:31
Axis Liquid Retail Growth 2115.609 2115.609 2115.609 2115.609 0.18 0.01% 2021/01/28 Time 1:31
Kotak Select Focus Growth 42.165 42.165 42.165 42.165 0.66 1.56% 2021/01/28 Time 1:31
Kotak Select Focus Dividend 25.461 25.461 25.461 25.461 0.40 1.56% 2021/01/28 Time 1:31
Kotak Liquid - Plan A - Growth 4117.776 4117.776 4117.776 4117.776 0.42 0.01% 2021/01/28 Time 1:31
Axis Liquid Institutional Growth 2259.889 2259.889 2259.889 2259.889 0.23 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Growth 301.354 301.354 301.354 301.354 0.03 0.01% 2021/01/28 Time 1:31
Kotak Liquid-Plan A - Growth - Direct 4135.13 4135.13 4135.13 4135.13 0.44 0.01% 2021/01/28 Time 1:31
SBI Magnum Balanced Fund Direct Growth 175.689 175.689 175.689 175.689 2.32 1.32% 2021/01/28 Time 1:31
SBI Magnum Balanced Fund Regular Growth 164.01 164.01 164.01 164.01 2.18 1.33% 2021/01/28 Time 1:31
HDFC Liquid Fund Monthly Dividend Payout 1026.498 1026.498 1026.498 1026.498 0.10 0.01% 2021/01/28 Time 1:31
SBI Magnum Balanced Fund Direct Dividend 51.41 51.41 51.41 51.41 0.68 1.32% 2021/01/28 Time 1:31
Axis Liquid Retail Weekly Dividend Payout 1000.849 1000.849 1000.849 1000.849 0.09 0.01% 2021/01/28 Time 1:31
Kotak Select Focus Fund - Growth - Direct 45.619 45.619 45.619 45.619 0.71 1.55% 2021/01/28 Time 1:31
Axis Liquid Fund Direct Plan Growth Option 2271.606 2271.606 2271.606 2271.606 0.23 0.01% 2021/01/28 Time 1:31
Axis Liquid Retail Monthly Dividend Payout 1000.855 1000.855 1000.855 1000.855 0.09 0.01% 2021/01/28 Time 1:31
Kotak Liquid Plan A Weekly Dividend Payout 1000.354 1000.354 1000.354 1000.354 0.10 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Direct Plan Growth 3202.784 3202.784 3202.784 3202.784 0.32 0.01% 2021/01/28 Time 1:31
Kotak Select Focus Fund - Dividend - Direct 27.86 27.86 27.86 27.86 0.43 1.55% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Regular Plan Growth 3184.803 3184.803 3184.803 3184.803 0.31 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Institutional Growth 3214.88 3214.88 3214.88 3214.88 0.31 0.01% 2021/01/28 Time 1:31
HDFC Liquid Fund -Direct Plan - Growth Option 4022.716 4022.716 4022.716 4022.716 0.42 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund - Treasury Plan - Growth 4969.189 4969.189 4969.189 4969.189 0.51 0.01% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Growth 42.6 42.6 42.6 42.6 0.32 0.75% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Direct Plan Growth 302.974 302.974 302.974 302.974 0.03 0.01% 2021/01/28 Time 1:31
Axis Liquid Institutional Weekly Dividend Payout 1002.285 1002.285 1002.285 1002.285 0.10 0.01% 2021/01/28 Time 1:31
SBI Magnum Balanced Fund Regular Dividend Payout 34.754 34.754 34.754 34.754 0.46 1.33% 2021/01/28 Time 1:31
Axis Liquid Institutional Monthly Dividend Payout 1001.471 1001.471 1001.471 1001.471 0.10 0.01% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Dividend 15.94 15.94 15.94 15.94 0.12 0.75% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Direct Plan Dividend 152.878 152.878 152.878 152.878 0.02 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Half Yearly Dividend 104.54 104.54 104.54 104.54 0.01 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Retail Monthly 1326.647 1326.647 1326.647 1326.647 0.11 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Institutional Fortnightly 1056.842 1056.842 1056.842 1056.842 0.10 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Discipline Advanta 220.355 220.355 220.355 220.355 0.02 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Dividend Payout Di 178.945 178.945 178.945 178.945 0.02 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Fund Institutional 108.114 108.114 108.114 108.114 0.01 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Fund Institutional 545.307 545.307 545.307 545.307 0.05 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Fund Retail Growth 531.381 531.381 531.381 531.381 0.05 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Growth Direct Plan 329.597 329.597 329.597 329.597 0.03 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Regular Dividend P 137.014 137.014 137.014 137.014 0.01 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Regular Plan Growt 327.45 327.45 327.45 327.45 0.03 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Regular Plan Weekl 100.268 100.268 100.268 100.268 0.01 0.01% 2021/01/28 Time 1:31
Aditya Birla Sun Life Cash Plus Weekly Dividend Pa 100.269 100.269 100.269 100.269 0.01 0.01% 2021/01/28 Time 1:31
Axis Liquid Fund Direct Plan Monthly Dividend Payo 1000.885 1000.885 1000.885 1000.885 0.10 0.01% 2021/01/28 Time 1:31
Axis Liquid Fund Direct Plan Weekly Dividend Payou 1002.289 1002.289 1002.289 1002.289 0.10 0.01% 2021/01/28 Time 1:31
HDFC Balanced Adv Direct Plan Dividend Payout Opti 26.933 26.933 26.933 26.933 0.53 1.95% 2021/01/28 Time 1:31
HDFC Liquid Fund -Direct Plan Monthly Dividend Pay 1026.511 1026.511 1026.511 1026.511 0.11 0.01% 2021/01/28 Time 1:31
HDFC Liquid Fund -Direct Plan Weekly Dividend Payo 1031.234 1031.234 1031.234 1031.234 0.11 0.01% 2021/01/28 Time 1:31
HDFC Liquid Fund Weekly Dividend Payout Reinvestme 1031.229 1031.229 1031.229 1031.229 0.11 0.01% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Direct Pl 17.71 17.71 17.71 17.71 0.13 0.73% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Direct Pl 16.51 16.51 16.51 16.51 0.12 0.73% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Direct Pl 46.21 46.21 46.21 46.21 0.35 0.76% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Direct Pl 21.59 21.59 21.59 21.59 0.17 0.79% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Monthly D 15.7 15.7 15.7 15.7 0.11 0.70% 2021/01/28 Time 1:31
ICICI Prudential Balanced Advantage Fund Quarterly 15.27 15.27 15.27 15.27 0.12 0.79% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Annual Dividend Payou 101.077 101.077 101.077 101.077 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Direct Plan Annual Di 101.15 101.15 101.15 101.15 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Direct Plan Half Year 105.611 105.611 105.611 105.611 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Direct Plan Monthly D 100.413 100.413 100.413 100.413 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Direct Plan Quarterly 101.335 101.335 101.335 101.335 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Direct Plan Weekly Di 100.202 100.202 100.202 100.202 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Dividend Payout Other 152.224 152.224 152.224 152.224 0.02 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Monthly Dividend Payo 100.3 100.3 100.3 100.3 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Quarterly Dividend Pa 100.576 100.576 100.576 100.576 0.01 0.01% 2021/01/28 Time 1:31
ICICI Prudential Liquid Plan Weekly Dividend Payou 100.177 100.177 100.177 100.177 0.01 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund - Treasury Plan - Direct Plan 5002.639 5002.639 5002.639 5002.639 0.53 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund - Treasury Plan - Retail - Gr 4518.096 4518.096 4518.096 4518.096 0.39 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Direct Plan Mon 1587.42 1587.42 1587.42 1587.42 0.17 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Direct Plan Qua 1006.765 1006.765 1006.765 1006.765 0.11 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Direct Plan Wee 1530.969 1530.969 1530.969 1530.969 0.16 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Monthly Dividen 1584.105 1584.105 1584.105 1584.105 0.16 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Quarterly Divid 1004.913 1004.913 1004.913 1004.913 0.10 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Retail Quarterl 1216.159 1216.159 1216.159 1216.159 0.10 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Retail Weekly D 1034.513 1034.513 1034.513 1034.513 0.09 0.01% 2021/01/28 Time 1:31
Reliance Liquid Fund Treasury Plan Weekly Dividend 1530.941 1530.941 1530.941 1530.941 0.16 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Direct Plan Daily Dividend 1032.824 1032.824 1032.824 1032.824 0.10 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Direct Plan Fortnightly Di 1045.879 1045.879 1045.879 1045.879 0.10 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Direct Plan Weekly Dividen 1093.875 1093.875 1093.875 1093.875 0.11 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Institutional Daily Divide 1033.507 1033.507 1033.507 1033.507 0.10 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Regular Plan Daily Dividen 1032.818 1032.818 1032.818 1032.818 0.10 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Regular Plan Fortnightly D 1045.192 1045.192 1045.192 1045.192 0.10 0.01% 2021/01/28 Time 1:31
SBI Premier Liquid Fund Regular Plan Weekly Divide 1093.148 1093.148 1093.148 1093.148 0.11 0.01% 2021/01/28 Time 1:31
UTI Liquid Fund Cash Plan Institutional Fortnightl 1154.237 1154.237 1154.237 1154.237 0.12 0.01% 2021/01/28 Time 1:31
ICICI Pru Life-Maximiser Fund V 28.738 28.738 28.738 28.738 0.00 0.00% 2021/01/27 Time 22:31
UTI Liquid Fund Cash Plan Institutional Monthly Di 1027.047 1027.047 1027.047 1027.047 0.00 0.00% 2021/01/26 Time 7:04
UTI Liquid Fund Cash Plan Institutional Weekly Div 1053.362 1053.362 1053.362 1053.362 0.00 0.00% 2021/01/26 Time 1:31
UTI Liquid Fund Cash Plan Institutional Annual Div 1473.292 1473.292 1473.292 1473.292 0.00 0.00% 2021/01/24 Time 7:01
UTI Liquid Fund Cash Plan Institutional Plan Weekl 1053.205 1053.205 1053.205 1053.205 0.00 0.00% 2021/01/23 Time 1:31
UTI Liquid Fund Cash Plan Institutional Growth 3332.395 3332.395 3332.395 3332.395 0.00 0.00% 2021/01/22 Time 1:31
UTI Liquid Fund Cash Plan Institutional Daily Divi 1039.099 1039.099 1039.099 1039.099 0.00 0.00% 2021/01/20 Time 1:31
UTI Liquid Fund Cash Plan Institutional Annual Div 1468.932 1468.932 1468.686 1468.932 0.00 0.00% 2021/01/16 Time 19:31
UTI Liquid Fund Cash Plan Growth 3083.473 3083.473 3083.473 3083.473 0.00 0.00% 2021/01/16 Time 1:31
Reliance Liquid Fund Treasury Plan Retail Daily Di 1524.28 1524.28 1524.28 1524.28 0.00 0.00% 2021/01/14 Time 1:31
UTI Liquid Fund Cash Plan Institutional Plan Month 1026.043 1026.043 1026.043 1026.043 0.00 0.00% 2021/01/14 Time 1:31
Axis Liquid Daily Dividend Reinvestment 1001.4 1001.4 1001.4 1001.4 0.00 0.00% 2021/01/13 Time 1:31
Kotak Liquid Plan A-Daily Dividend Reinvestment 1222.81 1222.81 1222.81 1222.81 0.00 0.00% 2021/01/13 Time 1:31
Reliance Liquid Fund Treasury Plan Daily Dividend 1528.74 1528.74 1528.74 1528.74 0.00 0.00% 2021/01/13 Time 1:31
Axis Liquid Fund Direct Plan Daily Dividend Reinve 1000.956 1000.956 1000.956 1000.956 0.00 0.00% 2021/01/13 Time 1:31
Reliance Liquid Fund Treasury Plan Direct Plan Dai 1528.74 1528.74 1528.74 1528.74 0.00 0.00% 2021/01/13 Time 1:31
HDFC Liquid Fund Daily Dividend Reinvestment 1019.82 1019.82 1019.82 1019.82 0.00 0.00% 2021/01/13 Time 1:31
Axis Liquid Retail Daily Dividend Reinvestment 1000.956 1000.956 1000.956 1000.956 0.00 0.00% 2021/01/13 Time 1:31
Aditya Birla Sun Life Cash Plus Fund Retail Daily 163.694 163.694 163.694 163.694 0.00 0.00% 2021/01/13 Time 1:31
Aditya Birla Sun Life Cash Plus Daily Dividend Rei 100.195 100.195 100.195 100.195 0.00 0.00% 2021/01/13 Time 1:31
Aditya Birla Sun Life Cash Plus Fund Institutional 108.023 108.023 108.023 108.023 0.00 0.00% 2021/01/13 Time 1:31
Aditya Birla Sun Life Cash Plus Regular Plan Daily 100.195 100.195 100.195 100.195 0.00 0.00% 2021/01/13 Time 1:31
HDFC Liquid Fund -Direct Plan Daily Dividend Reinv 1019.82 1019.82 1019.82 1019.82 0.00 0.00% 2021/01/13 Time 1:31
Kotak Liquid-Plan A Daily Dividend Reinvestment Di 1222.81 1222.81 1222.81 1222.81 0.00 0.00% 2021/01/13 Time 1:31
UTI Liquid Fund - Cash Plan - Institutional Plan - 3346.502 3346.502 3346.502 3346.502 0.00 0.00% 2021/01/09 Time 7:02
UTI Liquid Fund Cash Plan Dividend Payout 1131.933 1131.933 1131.933 1131.933 0.00 0.00% 2021/01/06 Time 1:31
UTI Liquid Fund Institutional Quarterly Dividend P 1384.875 1384.875 1384.875 1384.875 0.00 0.00% 2020/12/29 Time 1:31
UTI Liquid Fund Cash Plan Monthly Dividend Payout 1148.378 1148.378 1148.378 1148.378 0.00 0.00% 2020/12/26 Time 7:01
ICICI Prudential Liquid Plan Daily Dividend Reinve 100.148 100.148 100.148 100.148 0.00 0.00% 2020/12/04 Time 2:01
ICICI Prudential Liquid Plan Direct Plan Daily Div 100.108 100.108 100.108 100.108 0.00 0.00% 2020/12/04 Time 1:31
ICICI Prudential Focused Bluechip Equity Fund Dire 30.63 30.63 30.63 30.63 0.00 0.00% 2020/10/17 Time 1:30
ICICI Prudential Focused Bluechip Equity Fund Dire 44.82 44.82 44.82 44.82 0.00 0.00% 2020/10/17 Time 1:30
ICICI Prudential Focused Bluechip Equity Fund Reta 19.39 19.39 19.39 19.39 0.00 0.00% 2020/10/17 Time 1:30
ICICI Prudential Focused Bluechip Equity Fund Reta 41.98 41.98 41.98 41.98 0.00 0.00% 2020/10/17 Time 1:30
Axis Liquid Fund Direct plan Bonus Option 2215.571 2215.571 2194.875 2215.571 0.00 0.00% 2020/05/31 Time 20:01
ICICI Prudential Liquid Plan Retail Weekly Dividen 118.917 118.917 118.917 118.97 0.00 0.00% 2020/05/31 Time 16:30
SBI Life - Bond Fund 37.072 37.072 37.072 37.072 0.00 0.00% 2020/05/22 Time 14:30
HDFC Mid-Cap Opportunities Fund Growth 41.723 41.723 41.723 41.723 0.00 0.00% 2020/05/13 Time 2:30
HDFC Mid-Cap Opportunities Fund Dividend Payout 18.924 18.924 18.924 18.924 0.00 0.00% 2020/05/13 Time 2:30
ICICI Prudential Flexible Income Plan Daily Divide 105.736 105.736 105.736 105.736 0.00 0.00% 2020/05/13 Time 2:30
ICICI Prudential Flexible Income Plan Weekly Divid 105.771 105.771 105.771 105.771 0.00 0.00% 2020/05/09 Time 2:30
ICICI Prudential Flexible Income Plan Retail Plan 100.956 100.956 100.956 100.956 0.00 0.00% 2020/05/07 Time 7:00
ICICI Prudential Flexible Income Plan Retail Plan 220.008 220.008 220.008 220.008 0.00 0.00% 2020/04/25 Time 7:00
ICICI Prudential Flexible Income Plan Retail Plan 100.119 100.119 100.119 100.119 0.00 0.00% 2020/04/25 Time 7:00
ICICI Prudential Liquid Plan Retail Growth 450.78 450.78 450.78 450.78 0.00 0.00% 2020/04/25 Time 2:30
ICICI Prudential Liquid Plan Direct Plan Bonus 149.19 149.19 149.19 149.19 0.00 0.00% 2020/04/25 Time 2:30
ICICI Prudential Liquid Plan Institutional Growth 462.33 462.33 462.33 462.33 0.00 0.00% 2020/04/25 Time 2:30
ICICI Prudential Focused Bluechip Equity Fund Inst 37.59 37.59 37.59 37.59 0.00 0.00% 2020/04/25 Time 2:30
ICICI Prudential Liquid Plan Institutional I Growt 275.615 275.615 275.615 275.615 0.00 0.00% 2020/04/25 Time 2:30
ICICI Prudential Liquid Plan Retail Monthly Divide 100.537 100.537 100.537 100.537 0.00 0.00% 2020/04/25 Time 2:30
HDFC Mid-Cap Opportunities Fund -Direct Plan - Gro 45.464 45.464 45.464 45.464 0.00 0.00% 2020/04/18 Time 2:00
HDFC Mid-Cap Opportunities Fund -Direct Plan Divid 24.64 24.64 24.64 24.64 0.00 0.00% 2020/04/18 Time 2:00
ICICI Prudential Flexible Income Plan Direct Plan 155.884 155.884 155.884 155.884 0.00 0.00% 2020/04/16 Time 2:01
ICICI Prudential Flexible Income Plan Growth 386.48 386.48 386.48 386.48 0.00 0.00% 2020/04/16 Time 2:01
ICICI Prudential Flexible Income Plan Bonus 154.187 154.187 154.187 154.187 0.00 0.00% 2020/04/16 Time 2:01
ICICI Prudential Flexible Income Plan Direct Plan 101.331 101.331 101.331 101.331 0.00 0.00% 2020/04/16 Time 2:01
ICICI Prudential Flexible Income Plan Direct Plan 105.474 105.474 105.474 105.474 0.00 0.00% 2020/04/16 Time 2:01
ICICI Prudential Flexible Income Plan Direct Plan 100.96 100.96 100.96 100.96 0.00 0.00% 2020/04/16 Time 2:01
ICICI Prudential Flexible Income Plan Direct Plan 105.317 105.317 105.317 105.317 0.00 0.00% 2020/04/16 Time 2:01
ICICI Prudential Liquid Plan Institutional Daily D 118.502 118.502 118.502 118.502 0.00 0.00% 2020/04/09 Time 2:00
ICICI Prudential Liquid Plan Retail Daily Dividend 118.514 118.514 118.514 118.514 0.00 0.00% 2020/04/09 Time 2:00
UTI Liquid Fund Cash Plan Institutional Plan Daily 1019.446 1019.446 1019.446 1019.446 0.00 0.00% 2020/04/09 Time 2:00
ICICI Prudential Liquid Plan Institutional Plus Da 118.515 118.515 118.515 118.515 0.00 0.00% 2020/03/28 Time 7:00
SBI Premier Liquid Fund Institutional Weekly Divid 1500 1500 1500 1500 0.00 0.00% 2020/02/04 Time 18:41
HDFC Liquid Fund Premium Plan Growth 3764.092 3764.092 3764.092 3764.092 0.00 0.00% 2019/05/10 Time 2:03
HDFC Liquid Fund Premium Plan Daily Dividend Reinv 1225.98 1225.98 1225.98 1225.98 0.00 0.00% 2018/06/25 Time 23:04