Explore AMFI-backed scheme records by fund house, category, plan and option. NAV is end-of-day scheme data—not an intraday exchange price.
Hybrid Scheme - Multi Asset Allocation
Hybrid Scheme - Multi Asset Allocation
NAV values are the latest declarations stored from the official AMFI report. ShareKeyX does not convert NAV into a live price or infer returns, risk ratings or recommendations when those datasets are not available.
Hybrid Scheme - Multi Asset Allocation