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(added by V Muthu Krishnan)


PAN
UID No. (Aadhaar Card)
Ration Card No.
Blood Group
Passport No.
PassPort Expiry
Driving License No.
Driving License Expiry
Voters ID Card No.
EPF Account No./UAN
PPF Account No.
Sukanya Samriddhi Account No.
Landline No.
Landline Service Provider
Mobile No.
Mobile Service Provider
Gas Consumer No.
Gas Service Provider
Electricity Account No.
Electricity Service Provider
Water Account No.
Cable TV Account No.
Cable TV Provider
My Employee ID
My Seat Location

Name Contact No. Address


My Doctor
My Friend
Preferred Hospital Details
Ambulance Service
Health Insurance Company
Hospitalisation Process Representative
My Employer
My Boss
Emergency Contact at Work
Others
Financial Planner
Agent/Broker
Lawyer
Chartered Accountant
Health Insurance Agent
Real Estate Agent
Dentist
INSURANCE DETAILS
Name of Insured Insurance Type Insurance ProvidePolicy No.
1
2

BANK ACCOUNT
Name Bank Name Bank Address Bank Phone No.
1
2

PERSONAL PROPERTY DETAILS


Address Date Acquired Bank Name Property Owners
1
2

DEMAT/TRADING ACCOUNT Name Account No. Account Type Contact No. of Pro
1
2

DEPOSITS Name Account No. Account Type Contact No. of Pro


1
2

LOCATION OF IMPORTANT DOCUMENTS AND RECORDS

Bank Locker 1
Name of the Bank
Address
Locker No.
Keys located at
List of Contents

Bank Locker 2
Name of the Bank
Address
Locker No.
Keys located at
List of Contents

Cheque Book(s) / Bank Passbook(s)


Public Provident Fund (PPF) Passbook(s)
Fixed Deposit Certificate(s)
Tax Files (Income Tax / Wealth Tax / Gift Tax)
Educational / Domicile / Marriage Certificates
Court Decisions / Judgements /
Pending Litigation
Insurance Files (Life / Mediclaim / General)
Property Ownership Document(s)
Loan related Document(s)
(e.g. Loan agreements etc.)
Shares / Bonds / Units Certificates
Rent Receipts, Tenancy Agreements
(Correspondence with Landlord / Tenants)
Receipts of Telephone / Gas / Electricity etc.
Will(s)
Passport
Others:

LOAN DETAILS Type Of Loan Loan A/c No Amount EMI


1
2

OTHER DETAILS

(Copy to New sheet if details are to be Added for Spouse, children, Parents etc.)
Premium Amount Due Date Sum Assured

Bank Account No.IFSC Code Joint Holder/NomiBank Relationship Manager

Tenant Name Tenant No. Loan on Property Bank Name Bank Address Loan Account No.

Address of Provid Joint Holder/Nominee

Address of Provid Joint Holder/NomiDate of Deposit Date of Maturity


Start Date End Date Bank Bank Address Bank Contact No.
Account No.
You are 1.4% of the way to Financial Freedo
Enter the Year in
which the plan
has been made 2017 Inflat Value at
Value at year target *Years Target
2017 ion year 2020 year away Corpus So Far
Retirement 2025 5 ₹75,000,000 ₹4,364
Goal 1 ₹5,000,000 8% ₹6,298,560 2024 4 ₹8,569,121 ₹926,449
Goal 2 ₹2,000,000 8% ₹2,519,424 2030 10 ₹5,439,247 ₹234,555
Goal 3 ₹5,000,000 8% ₹6,298,560 2026 6 ₹9,995,023 ₹114,081
Goal 4 ₹1,000,000 8% ₹1,259,712 2033 13 ₹3,425,943 ₹137,105
Orange cells are inputs. ### 14,16,554
Obtain
*Red cellretirement corpus
in "Years away" fromthe
indicates a retirement calculator
target is after retirement.
Ensure retirement corpus is sufficient to meet monthly investment required

Retirement 0% Path 100%


to Financial Freedom
Goal 1 11% 89%
Column C Column D
Goal 2 4% 96%
Goal 3Retirement0%
1% 99% 100%
Goal 4 4% 96%
Goal 1 11% 89%
Big Goals

Goal 2 4% 96%
Goal 3 1% 99%
Goal 4 4% 96%

0% 20% 40% 60% 80% 100% 120%

% Complete

https://freefincal.com/automated-mutual-fund-financial-goal-tracker/
https://freefincal.com/google-spreadsheet-tracking-progress-financial-freedom/
https://docs.google.com/spreadsheets/d/1Ewzcf5xtDpW7BS6pWaeoJ02J0jYfkvGKtrwW4oM2_xE/copy
ancial Freedom as of 26-May-20Y Monthly
Investment
% % Growth % Current % Current required at %desired %desired
Corpus required allocation Allocation current allocation allocation
Remaining Met per year to Equity to Debt allocation to equity to debt
₹74,995,636 0.0% 603.1% 75.36% 24.6% $953,366.05 60% 40%
₹7,642,672 10.8% 74.4% 4.40% 95.6% $132,287.25 20% 80%
₹5,204,692 4.3% 36.9% 35.14% 64.9% $25,953.80 60% 40%
₹9,880,942 1.1% 110.7% 100.00% 0.0% $94,301.24 30% 70%
₹3,288,838 4.0% 28.1% 0.00% 100.0% $12,344.78 80% 20%
### 1.4% 16.98% 83.0% $1,218,253.13 33.36% 66.64%
Guidelines:
Expected returns from Equity 12% For goals less than 5 years away: no equity
Expected returns from Debt 7% Between 5-10 years: Not more than 40% fo
Between 10-15 years: 40-60%
Above 15 years: 60%

100% 120%

2J0jYfkvGKtrwW4oM2_xE/copy
Monthly
Investment
required at
desired
allocation
$971,767.27
$129,612.17
$23,979.60
$105,243.79
$8,689.73
$1,239,292.55

than 5 years away: no equity exposure.


years: Not more than 40% for an important goal and about 60% for a less important goal.
5 years: 40-60%
Map your assets to your goals here
Type Instrument Qty CMP/NAV Cost Current Value
Equity Birla SL Cash Plus 239.978 ₹274.11 ₹60,000.00 ₹65,781.45
Equity Axis Long Term Equity Fund 1849.24 ₹44.09 ₹60,000.00 ₹81,538.16
Equity Birla SL Tax Plan-G 846.5 ₹40.33 ₹10,323.00 ₹34,139.35
Debt Birla SL Floating Rate 5.095 ₹211.03 ₹1,000.05 ₹1,075.20
Equity
Equity nifty 5 ### ₹35,000.00 ₹58,166.50
Equity
Cash PPF ₹150,000.00 ₹137,104.90
Cash Emp. PF ₹0.00 ₹0.00
₹0.00 ₹0.00
Cash Cash inBank ₹0.00 ₹0.00
Cash Tax Saving FD ₹0.00 ₹0.00
Cash Tax Saving FD ₹0.00 ₹0.00
Cash FD 1 ₹125,000.00 ₹153,016.88
Cash FD 2 ₹0 ₹0
Cash FD 3 ₹13,000 ₹13,000
Cash FD 4 ₹304,945 ₹304,945
Cash FD 5 ₹567,787 ₹567,787
Total Assets ₹1,416,554.43
Retirement Goal 1 Goal 2 Goal 3 Goal 4
P/L Wtd. Age XIRR ₹4,364 ₹926,449 ₹234,555 ₹114,081 ₹137,105
₹5,781.45 1303 2.61% 5% 10% 0% 85%
₹21,538.16 1364 8.58% 0% 100%
₹23,816.35 2479 18.57% 100% 0%
₹75.15 1196 2.24% 100% 0%

₹23,166.50 3048 6.27% 100%

0% 100%
100%
100%
100%
100% 0%
100% 0%
0% 100% 0%
100%
100%
100%
100%
100%
100%
100%
100%

100%

100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
100%
Name Date NAV Units
Birla SL Tax Plan-G 10/6/2017 ₹12.6300 144.35
Birla SL Tax Plan-G 11/17/2011 ₹12.2200 40.92
Birla SL Tax Plan-G 11/28/2011 ₹12.0000 41.67
Birla SL Tax Plan-G 12/20/2011 ₹11.1200 359.71
Birla SL Tax Plan-G 12/29/2011 ₹11.2800 44.33
Birla SL Tax Plan-G 8/12/2013 ₹13.9200 215.52
Axis Long Term Equity Fund 1/5/2016 ₹31.4200 636.537
Axis Long Term Equity Fund 2/17/2016 ₹28.6900 174.277
Axis Long Term Equity Fund 6/24/2016 ₹31.8532 156.97
Birla SL Cash Plus 7/25/2016 ₹249.5642 100.175
Axis Long Term Equity Fund 8/9/2016 ₹34.7366 143.94
Birla SL Cash Plus 8/10/2016 ₹250.3519 139.803
Birla SL Floating Rate 11/18/2016 ₹196.28 5.095
Axis Long Term Equity Fund 9/12/2016 ₹34.59 86.73
Axis Long Term Equity Fund 9/15/2016 ₹34.63 115.507
Axis Long Term Equity Fund 10/13/2016 ₹34.70 201.721
Axis Long Term Equity Fund 11/4/2016 ₹34.11 102.604
Axis Long Term Equity Fund 11/9/2016 ₹33.71 103.833
Axis Long Term Equity Fund 11/21/2016 ₹31.47 127.125
₹131,323.05 ₹182,534.15 ₹51,211.11 39.00%
Current NAV Total Cost Current Value P/L P/L % Days
₹40.33 ₹1,823.00 ₹5,821.64 ₹3,998.64 219.34% 963
₹40.33 ₹500.00 ₹1,650.30 ₹1,150.30 230.06% 3113
₹40.33 ₹500.00 ₹1,680.55 ₹1,180.55 236.11% 3102
₹40.33 ₹4,000.00 ₹14,507.10 ₹10,507.10 262.68% 3080
₹40.33 ₹500.00 ₹1,787.83 ₹1,287.83 257.57% 3071
₹40.33 ₹3,000.00 ₹8,691.92 ₹5,691.92 189.73% 2479
₹44.09 ₹20,000.00 ₹28,066.63 ₹8,066.63 40.33% 1603
₹44.09 ₹5,000.00 ₹7,684.34 ₹2,684.34 53.69% 1560
₹44.09 ₹5,000.00 ₹6,921.23 ₹1,921.23 38.42% 1432
₹274.11 ₹25,000.00 ₹27,459.42 ₹2,459.42 9.84% 1401
₹44.09 ₹5,000.00 ₹6,346.70 ₹1,346.70 26.93% 1386
₹274.11 ₹35,000.00 ₹38,322.03 ₹3,322.03 9.49% 1385
₹211.03 ₹1,000.05 ₹1,075.20 ₹75.15 7.51% 1285
₹44.09 ₹3,000.00 ₹3,824.16 ₹824.16 27.47% 1352
₹44.09 ₹4,000.00 ₹5,093.02 ₹1,093.02 27.33% 1349
₹44.09 ₹7,000.00 ₹8,894.42 ₹1,894.42 27.06% 1321
₹44.09 ₹3,500.00 ₹4,524.09 ₹1,024.09 29.26% 1299
₹44.09 ₹3,500.00 ₹4,578.28 ₹1,078.28 30.81% 1294
₹44.09 ₹4,000.00 ₹5,605.28 ₹1,605.28 40.13% 1282
CAGR
55.28%
15.03%
15.33%
16.49%
16.35%
16.96%
8.02%
10.58%
8.64%
2.47%
6.48%
2.42%
2.08%
6.77%
6.75%
7.35%
8.05%
8.47%
10.87%
₹70,000.00
Name Date Price Shares Current Price Total Cost
nifty 10/24/2011 ₹7,000.0000 5 ₹11,633.30 ₹35,000.00
TCS 10/24/2011 ₹7,000.0000 5 ₹2,097.00 ₹35,000.00
₹68,651.50 -₹1,348.50 -1.93%
Current Value P/L P/L % Days CAGR
₹58,166.50 ₹23,166.50 66.19% 3137 6.09%
₹10,485.00 -₹24,515.00 -70.04% 3137 -13.09%
Name Date Amount Interest Maturity Date
FD 1 5/31/2017 125000 7.00%
PPF 4/5/2017 150000 7.60%
Compounding
Compounding Frequency Current Value Periods
Anually ₹153,017 1
Monthly ₹137,105 12
Yearly Err:502 1
Quarterly Err:502 4
A = Maturity Value P = Principal Am
aturity Value P = Principal Amount r = Rate of Interest t = Number of Period n = Compounded Interest Frequency I = Interest Earned Amount
erest Earned Amount
Type Name
Equity Axis Long Term Equity Fund
Debt-Liquid Birla SL Cash Plus
Debt-Ultra Birla SL Floating Rate
Equity Birla SL Tax Plan-G
Equity nifty
Equity HDFC Top 200
Equity SBI Bluechip
Equity IDFC Premier Equity
Equity ICICI Value Discovery
Equity TCS
Google Symbol Scheme Code AMFI Price
MUTF_IN:AXIS_LT_EQUI_1TCMI7H 120503 44.0927
119568 274.1145
122646 211.0296
104331 40.33
NSE:NIFTY 11633.3
MUTF_IN:HDFC_TOP_200_1YSG1AQ #N/A
MUTF_IN:SBI_BLUE_DIR_W61N1G 42.85
MUTF_IN:IDFC_PREM_EQUI_M71B2J #N/A
MUTF_IN:ICIC_PRU_VALU_1TYLEWK 145.09
NSE:TCS 2097
Note: Google symbol for MF is also works. but price
gets updated on next day. AMFI prices gets updated
aroung 10pm daily.
Name Value Type Count
Name Cash ₹1,174,464.16
EmailTo Category
Debt wise Holdings
₹1,075.20
Networth ₹1,416,554.43 Equity ₹239,625.46
LastNetworth ₹1,315,818.16
Cash
Change ₹100,736.27
Debt
ChangePct 7.66%
Equity
MFValue ₹182,534.15
LastMFValue ₹100,727.32
MFChange ₹81,806.83
MFChangePct 81.22%
Sensex 39745.66
SensexChange -143.3
SensexChangePct -0.36%
NIFTY 11633.3
NIFTYChange -45.2
NIFTYChangePct -0.39%
So Far Remaining Equity
Retirement 0.01% 99.99% Retirement 75.36%
Goal 1 Goal Status
10.81% 89.19% Goal 1 Allocation4.40%
Status
Goal 2 4.27% 95.73% Goal 2 35.14%
So Far Remaining Retirement4.40% 75.36% 24.64%
Goal 3 1.14% 98.86% Goal 3 35.14% 100.00%
95.60%
64.86%
Goal 3 0.00% 100.00%
100.00%
0.00%
Goal 4
Retirement
0.01%
10.81% 4.03%
99.99%
89.19% 95.97% Goal 4 0.00% 0.00%
4.27%
1.14%
4.03% 95.73%
98.86%
95.97% 0.00%
0.00%
0.00% 0.00%
0.00%
% 0% 0% 0% 0% 0% 0%
00
% 0% 0% 0% 0% 0% 0% 00 .0 .0 .0 .0 .0 .0
0. .0 .0 .0 .0 .0 .0 0. 20 40 60 80 0 0
20 40 60 80
10
0
12
0 10 12
% Complete
Equity Debt
Debt
24.64%
ion Status 95.60%
64.86%
36% 24.64%
95.60%
64.86% 0.00%
100.00% 0.00%
100.00% 100.00%

0% 0% 0% 0% 0%
0.0 0.0 0.0 0.0
6 8 10 12

ity Debt
Scheme Code ISIN Div Payout/ ISIN Div Reinvest Scheme Name

Open Ended Schemes(Balanced)

Aditya Birla Sun Life Mutual Fund

120518 INF209KA1LH3 INF209K01ZB2 Aditya Birla Sun Life Balanced '95 Fund - Direct Pla
120517 INF209K01ZC0 - Aditya Birla Sun Life Balanced '95 Fund - Direct Pla
103154 INF209K01BS7 INF209K01EE1 Aditya Birla Sun Life Balanced '95 Fund - Regular P
103155 INF209K01BT5 - Aditya Birla Sun Life Balanced '95 Fund - Regular P
131671 INF084M01DK3 INF084M01DL1 Aditya Birla Sun Life Balanced Advantage Fund - Dir
131670 INF084M01DJ5 - Aditya Birla Sun Life Balanced Advantage Fund - Dir
131665 INF084M01AC6 INF084M01AD4 Aditya Birla Sun Life Balanced Advantage Fund - Reg
131666 INF084M01AB8 - Aditya Birla Sun Life Balanced Advantage Fund - Re

Axis Mutual Fund

135765 INF846K01WP8 - Axis Children's Gift Fund - Lock in - Direct Dividend


135762 INF846K01WO1 - Axis Children's Gift Fund - Lock in - Direct Growth
135760 INF846K01WK9 - Axis Children's Gift Fund - Lock in - Dividend
135759 INF846K01WJ1 - Axis Children's Gift Fund - Lock in - Growth
135763 INF846K01WS2 INF846K01WQ6 Axis Children's Gift Fund - without Lock in - Direct D
135764 INF846K01WR4 - Axis Children's Gift Fund - without Lock in - Direct G
135761 INF846K01WN3 INF846K01WL7 Axis Children's Gift Fund - without Lock in - Dividend
135766 INF846K01WM5 - Axis Children's Gift Fund - without Lock in - Growth
120523 INF846K01ET8 INF846K01EU6 Axis Triple Advantage Fund - Direct Plan - Dividend
120524 INF846K01EV4 - Axis Triple Advantage Fund - Direct Plan - Growth O
113065 INF846K01776 INF846K01784 Axis Triple Advantage Fund - Dividend Option
113064 INF846K01768 - Axis Triple Advantage Fund - Growth Option

Baroda Pioneer Mutual Fund

125112 INF955L01DB5 - Baroda Pioneer Balance Fund - Plan A - Bonus Opti


101913 INF955L01682 INF955L01690 BARODA PIONEER BALANCE FUND - Plan A - Divid
101912 INF955L01708 - BARODA PIONEER BALANCE FUND - Plan A - Grow
119325 INF955L01922 - BARODA PIONEER BALANCE FUND - Plan B (Direct)
119326 INF955L01948 - BARODA PIONEER BALANCE FUND - Plan B (Direct)

BNP Paribas Mutual Fund

141005 INF251K01PB5 INF251K01PA7 BNP PARIBAS BALANCED FUND -DIRECT PLAN-


141006 INF251K01OZ7 - BNP PARIBAS BALANCED FUND- DIRECT PLAN
141007 INF251K01OY0 INF251K01OX2 BNP PARIBAS BALANCED FUND- REGULAR PLAN
141004 INF251K01OW4 - BNP PARIBAS BALANCED FUND- REGULAT PLA

BOI AXA Mutual Fund


127852 INF761K01BM0 INF761K01BN8 BOI AXA EQUITY DEBT REBALANCER FUND DIR
127851 INF761K01BP3 INF761K01BQ1 BOI AXA EQUITY DEBT REBALANCER FUND RE
127850 INF761K01BO6 - BOIAXAEQUITY DEBT REBALANCER FUND DIRE
127849 INF761K01BR9 - BOIAXAEQUITY DEBT REBALANCER FUND REG

Canara Robeco Mutual Fund

118272 INF760K01EZ8 - Canara Robeco Balance - Direct Plan - Growth


118271 INF760K01EX3 INF760K01EY1 Canara Robeco Balance - Direct Plan - Monthly Divi
106166 INF760K01050 - Canara Robeco Balance - Regular Plan - Growth
106167 INF760K01068 INF760K01076 Canara Robeco Balance - Regular Plan - Monthly Di

DSP BlackRock Mutual Fund

119020 INF740K01NZ1 INF740K01OA2 DSP BlackRock Balanced Fund - Direct Plan - Divid
119019 INF740K01NY4 - DSP BlackRock Balanced Fund - Direct Plan - Growt
131086 INF740K010D5 INF740K011D3 DSP BlackRock Balanced Fund - Direct Plan - Quarte
131087 INF740K018C0 INF740K019C8 DSP BlackRock Balanced Fund - Regular Plan - Quar
100081 INF740K01318 - DSP BlackRock Balanced Fund- Regular Plan - Gro
100082 INF740K01326 INF740K01334 DSP BlackRock Balanced Fund- Regular Plan -Divid

Edelweiss Mutual Fund

140361 INF843K01KS4 INF843K01KT2 Edelweiss Balanced Advantage Fund - Direct Plan -


140357 INF843K01KQ8 - Edelweiss Balanced Advantage Fund - Direct Plan -
140360 INF843K01KV8 - Edelweiss Balanced Advantage Fund - Regular Plan
140362 INF843K01KW6 INF843K01KX4 Edelweiss Balanced Advantage Fund - Regular Plan
140359 INF843K01KU0 - Edelweiss Balanced Advantage Fund - Regular Plan

Escorts Mutual Fund

101069 INF966L01242 INF966L01259 Escorts Balanced Fund-Dividend Option


120818 INF966L01531 INF966L01549 Escorts Balanced Fund-Dividend Option-Direct Plan
101070 INF966L01267 - Escorts Balanced Fund-Growth Option
120819 INF966L01556 - Escorts Balanced Fund-Growth Option-Direct Plan

Franklin Templeton Mutual Fund

118547 INF090I01GA2 INF090I01GB0 Franklin India BALANCED FUND - Direct - Dividend


118546 INF090I01FZ1 - Franklin India BALANCED FUND - Direct - Growth
100549 INF090I01825 INF090I01833 Franklin India Balanced Fund-Dividend Plan
100550 INF090I01817 - Franklin India Balanced Fund-Growth Plan

HDFC Mutual Fund

100121 INF179K01376 INF179K01384 HDFC Balanced Fund - Dividend Option


100122 INF179K01392 - HDFC Balanced Fund - Growth Option
118932 INF179K01UX2 INF179K01UY0 HDFC Balanced Fund -Direct Plan - Dividend Option
118933 INF179K01UZ7 - HDFC Balanced Fund -Direct Plan - Growth Option
100900 - - HDFC Children Gift Fund-Investment
100899 - - HDFC Children Gift Fund-Savings
119066 - - HDFC Childrens Gift Fund Investment Plan-Direct Pl
119067 - - HDFC Childrens Gift Fund Savings Plan-Direct Plan
101978 INF179K01AT2 INF179K01AU0 HDFC Prudence Fund - Dividend Option
101977 INF179K01AV8 - HDFC Prudence Fund - Growth Option
118990 INF179K01YA2 INF179K01YB0 HDFC Prudence Fund -Direct Plan - Dividend Option
118991 INF179K01YC8 - HDFC Prudence Fund -Direct Plan - Growth Option
136464 INF179KB1MH6 - HDFC Retirement Savings Fund - Hybrid - Equity Plan
136463 INF179KB1MI4 - HDFC Retirement Savings Fund - Hybrid - Equity Pla

ICICI Prudential Mutual Fund

120251 INF109K01Y07 - ICICI Prudential Balanced Fund - Direct Plan - Grow


131453 INF109KA1Y19 INF109KA1Y01 ICICI Prudential Balanced Fund - Direct Plan - Half
120252 INF109K01X81 INF109K01X99 ICICI Prudential Balanced Fund - Direct Plan - Month
136114 INF109KB1QM2 INF109KB1QL4 ICICI Prudential Balanced Fund - Direct Plan -Annua
100356 INF109K01480 - ICICI Prudential Balanced Fund - Growth
131452 INF109KA1X93 INF109KA1X85 ICICI Prudential Balanced Fund - Half Yearly Divide
100355 INF109K01DX5 INF109K01498 ICICI Prudential Balanced Fund - Monthly Dividend
136113 INF109KB1QK6 INF109KB1QJ8 ICICI Prudential Balanced Fund -Annual Dividend

IDBI Mutual Fund

139972 INF397L01IZ8 INF397L01JA9 IDBI Prudence Fund Dividend Direct


139970 INF397L01JD3 INF397L01JE1 IDBI Prudence Fund Dividend Regular
139971 INF397L01JC5 - IDBI Prudence Fund Growth Direct
139969 INF397L01JG6 - IDBI Prudence Fund Growth Regular

IDFC Mutual Fund

140383 INF194KA1U64 INF194KA1U72 IDFC Balanced Fund-Direct Plan-Dividend


140382 INF194KA1U56 - IDFC Balanced Fund-Direct Plan-Growth
140384 INF194KA1U23 INF194KA1U31 IDFC Balanced Fund-Regular Plan-Dividend
140381 INF194KA1U15 - IDFC Balanced Fund-Regular Plan-Growth

JM Financial Mutual Fund

130904 INF192K01HB8 - JM Balanced Fund (Direct) - Annual Bonus Option


131477 INF192K01HJ1 INF192K01HK9 JM Balanced Fund (Direct) - Annual Dividend Option
133401 INF192K01GP0 - JM Balanced Fund (Direct) - Bonus Option - Principal
120483 INF192K01BO4 INF192K01BP1 JM Balanced Fund (Direct) - Dividend Option
120484 INF192K01BQ9 - JM Balanced Fund (Direct) - Growth Option
133409 INF192K01HV6 - JM Balanced Fund (Direct) - Half Yearly Bonus Option
133402 INF192K01HH5 INF192K01HI3 JM Balanced Fund (Direct) - Half Yearly Dividend Op
133412 INF192K01HN3 INF192K01HO1 JM Balanced Fund (Direct) - Monthly Dividend Optio
133411 INF192K01HZ7 - JM Balanced Fund (Direct) - Quarterly Bonus Option -
133406 INF192K01HR4 INF192K01HS2 JM Balanced Fund (Direct) - Quarterly Dividend Opti
133407 INF192K01GZ9 - JM Balanced Fund - Annual Bonus Option
131476 INF192K01HF9 INF192K01HG7 JM Balanced Fund - Annual Dividend Option
133400 INF192K01GN5 - JM Balanced Fund - Bonus Option - Principal Units
133403 INF192K01HT0 - JM Balanced Fund - Half Yearly Bonus Option - Princ
133408 INF192K01HD4 INF192K01HE2 JM Balanced Fund - Half Yearly Dividend Option
133404 INF192K01HL7 INF192K01HM5 JM Balanced Fund - Monthly Dividend Option
133410 INF192K01HX2 - JM Balanced Fund - Quarterly Bonus Option - Princip
133405 INF192K01HP8 INF192K01HQ6 JM Balanced Fund - Quarterly Dividend Option
100220 INF192K01528 INF192K01536 JM Balanced Fund-Dividend
100221 INF192K01544 - JM Balanced Fund-Growth

Kotak Mahindra Mutual Fund

100286 INF174K01443 INF174K01450 Kotak Balance


133035 INF174K01F00 - Kotak Balance - Direct Growth
119767 INF174K01LL7 - Kotak Balance - Dividend - Direct
133036 INF174K01E92 - Kotak Balance - Growth

LIC Mutual Fund

120260 INF767K01EC2 INF767K01EE8 LIC MF Balanced Fund-Direct Plan-Dividend


120261 INF767K01ED0 - LIC MF Balanced Fund-Direct Plan-Growth
100321 INF767K01022 INF767K01014 LIC MF Balanced Fund-Regular Plan-Dividend
100323 INF767K01030 - LIC MF Balanced Fund-Regular Plan-Growth

PRINCIPAL Mutual Fund

119484 INF173K01FE6 - Principal Balanced Fund- Direct Plan - Growth Optio


101266 INF173K01CI4 INF173K01CJ2 Principal Balanced Fund- Monthly Dividend
119485 INF173K01FB2 INF173K01FC0 Principal Balanced Fund-Direct Plan - Monthly Divid
101265 INF173K01CL8 - Principal Balanced Fund-Growth

Reliance Mutual Fund

118794 INF204K01B08 - Reliance Regular Savings Fund - Balanced Option -


122766 INF204K011R2 INF204K012R0 Reliance Regular Savings Fund - Balanced Option - D
118793 INF204K01B16 INF204K01B24 Reliance Regular Savings Fund - Balanced Option -
112937 INF204K01FX9 INF204K01FY7 Reliance Regular Savings Fund - Balanced Option -
112936 INF204K01FW1 - Reliance Regular Savings Fund - Balanced Option -
122765 INF204K013R8 INF204K014R6 Reliance Regular Savings Fund - Balanced Option -
139679 INF204KB1BE5 INF204KB1BD7 Reliance Regular Savings Fund- Balanced Option- Di
139680 INF204KB1BG0 INF204KB1BF2 Reliance Regular Savings Fund- Balanced Option- M

SBI Mutual Fund

119604 INF200K01RW4 INF200K01RX2 SBI Magnum Balanced Fund - DIRECT PLAN - Divi
101551 INF200K01115 INF200K01123 SBI Magnum Balanced Fund - REGULAR PLAN - Di
119609 INF200K01RY0 - SBI Magnum Balanced Fund - DIRECT PLAN - Grow
102885 INF200K01107 - SBI Magnum Balanced Fund - REGULAR PLAN -Gr

Sundaram Mutual Fund

100617 INF903J01744 - Sundaram Balanced Fund - Appreciation Option


119542 INF903J01MP0 - Sundaram Balanced Fund - Direct Plan - Growth Opt
119545 INF903J01MN5 INF903J01MO3 Sundaram Balanced Fund - Direct Plan - Dividend O
101472 INF903J01728 INF903J01736 Sundaram Balanced Fund - Dividend Option
111924 INF903J01751 INF903J01769 Sundaram Balanced Fund - Institutional Dividend Op

Tata Mutual Fund

119053 INF277K01MN2 - Tata Balanced Fund -Direct Plan- Growth


119057 INF277K01MO0 INF277K01MP7 Tata Balanced Fund -Direct Plan- Monthly Dividend
119058 INF277K01ML6 INF277K01MM4 Tata Balanced Fund -Direct Plan-Dividend Option
101222 INF277K01DB6 INF277K01295 Tata Balanced Fund Regular Plan - Dividend Option
100414 INF277K01303 - Tata Balanced Fund Regular Plan - Growth
113134 INF277K01CS2 INF277K01CW4 Tata Balanced Fund Regular Plan- Monthly Dividend
101491 INF277K01AJ5 - Tata Young Citizen [After 7 years] Regular Plan
101490 - - Tata Young Citizen Fund [>3 years upto 7 years] Re
101489 - - Tata Young Citizen Fund [Upto 3 years] Regular Pla
119299 - - Tata Young Citizens' Fund [> 3 years upto 7 years]-
119296 - - Tata Young Citizens' Fund [Upto 3 years]-Direct Pla
119312 INF277K01QW4 - Tata Young Citizens' Fund-(After 7 years)-Direct Pla

Union Mutual Fund

119328 INF582M01948 INF582M01930 Union Asset Allocation Fund - Moderate Plan - Direct
119327 INF582M01922 - Union Asset Allocation Fund - Moderate Plan - Direc
117394 INF582M01484 INF582M01476 Union Asset Allocation Fund - Moderate Plan - Divid
117393 INF582M01468 - Union Asset Allocation Fund - Moderate Plan - Grow

UTI Mutual Fund

100684 INF789F01323 - UTI - Balanced Fund-Growth


120674 INF789F01SK9 - UTI - Balanced Fund-Growth - Direct
100685 INF789F01307 INF789F01315 UTI - Balanced Fund-Income
120673 INF789F01SI3 INF789F01SJ1 UTI - Balanced Fund-Income - Direct
101662 - - UTI - Variable Investment Scheme-Growth Option
101661 - - UTI - Variable Investment Scheme-Income Option

Open Ended Schemes(ELSS)

Aditya Birla Sun Life Mutual Fund

119660 INF209K01Q14 INF209K01VW7 Aditya Birla Sun Life Tax Plan - Direct Plan - Divide
119661 INF209K01VV9 - Aditya Birla Sun Life Tax Plan - Direct Plan - Growth
100067 INF209K01330 INF209K01CM8 Aditya Birla Sun Life Tax Plan - Regular Plan - Divi
104331 INF209K01348 - Aditya Birla Sun Life Tax Plan - Regular Plan - Grow
119543 INF209K01P23 INF209K01UM0 Aditya Birla Sun Life Tax Relief '96 - Dividend - Direc
103164 INF209K01090 INF209K01CB1 Aditya Birla Sun Life Tax Relief '96 - Dividend Option
119544 INF209K01UN8 - Aditya Birla Sun Life Tax Relief '96 - Growth - Direct
107745 INF209K01108 - Aditya Birla Sun Life Tax Relief '96 - Growth Option
131741 INF084M01BX0 - Aditya Birla Sun Life Tax Savings Fund - Direct Plan
131740 INF084M01BV4 INF084M01BW2 Aditya Birla Sun Life Tax Savings Fund - Direct Plan
131739 INF084M01BU6 - Aditya Birla Sun Life Tax Savings Fund - Direct Plan
131738 INF084M01333 - Aditya Birla Sun Life Tax Savings Fund - Regular Pl
131737 INF084M01317 INF084M01325 Aditya Birla Sun Life Tax Savings Fund - Regular Pl
131736 INF084M01309 - Aditya Birla Sun Life Tax Savings Fund - Regular Pl

Axis Mutual Fund

120502 INF846K01EX0 INF846K01EY8 Axis Long Term Equity Fund - Direct Plan - Dividend
120503 INF846K01EW2 - Axis Long Term Equity Fund - Direct Plan - Growth O
112322 INF846K01149 INF846K01156 Axis Long Term Equity Fund - Dividend
112323 INF846K01131 - Axis Long Term Equity Fund - Growth

Baroda Pioneer Mutual Fund

100068 INF955L01641 - BARODA PIONEER ELSS 96 - Plan A - Dividend Pay


119339 INF955L01914 - BARODA PIONEER ELSS 96 - Plan B (Direct) - Divi
125111 INF955L01DA7 - Baroda Pioneer ELSS 96 - Plan B (Direct)- Bonus Op
125110 INF955L01CZ6 - Baroda Pioneer ELSS 96 Fund - Plan A- Bonus Opti
134044 INF955L01GD4 - Baroda Pioneer ELSS 96 Plan A -Growth Option
134045 INF955L01GE2 - Baroda Pioneer ELSS 96 Plan B(Direct) -Growth Opt

BNP Paribas Mutual Fund

120146 INF251K01HH9 INF251K01HG1 BNP Paribas Long Term Equity Fund - Direct Plan -
120147 INF251K01HF3 - BNP Paribas Long Term Equity Fund - Direct Plan -
113463 INF251K01985 - BNP Paribas Long Term Equity Fund - Growth Optio
113464 INF251K01AA9 INF251K01993 BNP Paribas Long Term Equity Fund-Dividend Optio

BOI AXA Mutual Fund

119352 INF761K01876 INF761K01868 BOI AXA Tax Advantage Fund-Direct Plan-Dividend


111711 INF761K01132 INF761K01140 BOI AXA Tax Advantage Fund-ECO Plan-Dividend
111709 INF761K01157 - BOI AXA Tax Advantage Fund-ECO Plan-Growth
111710 INF761K01181 - BOI AXA Tax Advantage Fund-Regular Plan- Growt
111708 INF761K01165 INF761K01173 BOI AXA Tax Advantage Fund-Regular Plan-Dividen
119351 INF761K01884 - OI AXA Tax Advantage Fund-Direct Plan- Growth

Canara Robeco Mutual Fund

118286 INF760K01EJ2 INF760K01EK0 Canara Robeco Equity Taxsaver - Direct Plan - Divi
118285 INF760K01EL8 - Canara Robeco Equity Taxsaver - Direct Plan - Grow
100593 INF760K01084 INF760K01092 Canara Robeco Equity Taxsaver - Regular Plan - Di
111722 INF760K01100 - Canara Robeco Equity Taxsaver - Regular Plan - Gr

DHFL Pramerica Mutual Fund

135600 INF663L01FO3 - DHFL Pramerica Long Term Equity Fund - Direct Pla
135601 INF663L01FN5 - DHFL Pramerica Long Term Equity Fund - Direct Pla
135599 INF663L01FR6 - DHFL Pramerica Long Term Equity Fund - Regular Pl
135598 INF663L01FQ8 - DHFL Pramerica Long Term Equity Fund - Regular P
138393 INF223J01887 - DHFL Pramerica Tax Plan - Bonus
138396 INF223J01PD2 - DHFL Pramerica Tax Plan - Direct Plan - Bonus
138395 INF223J01QY6 - DHFL Pramerica Tax Plan - Direct Plan - Dividend
138394 INF223J01RA4 - DHFL Pramerica Tax Plan - Direct Plan - Growth
138392 INF223J01333 - DHFL Pramerica Tax Plan-DIVIDEND
138391 INF223J01358 - DHFL Pramerica Tax Plan-GROWTH

DSP BlackRock Mutual Fund

119241 INF740K01OL9 INF740K01OM7 DSP BlackRock Tax Saver Fund - Direct Plan - Divi
119242 INF740K01OK1 - DSP BlackRock Tax Saver Fund - Direct Plan - Grow
104773 INF740K01169 INF740K01177 DSP BlackRock Tax Saver Fund - Regular Plan - Di
104772 INF740K01185 - DSP BlackRock Tax Saver Fund - Regular Plan - Gr

Edelweiss Mutual Fund

118619 INF754K01BX2 INF754K01BY0 EDELWEISS ELSS FUND - Direct Plan-Dividend Opt


118620 INF754K01CA8 - EDELWEISS ELSS FUND - Direct Plan-Growth Opti
111639 INF754K01525 INF754K01541 EDELWEISS ELSS FUND - Regular Plan - Dividend
111638 INF754K01517 - EDELWEISS ELSS FUND - Regular Plan - Growth O
140240 INF843K01AS5 INF843K01AT3 Edelweiss Tax Advantage Fund - Direct Plan - Divid
140241 INF843K01AR7 - Edelweiss Tax Advantage Fund - Direct Plan - Growt
140239 INF843K01112 INF843K01120 Edelweiss Tax Advantage Fund - Regular Plan - Div
140238 INF843K01104 - Edelweiss Tax Advantage Fund - Regular Plan - Gro

Escorts Mutual Fund

100174 INF966L01119 INF966L01127 Escorts Tax Plan-Dividend


120846 INF966L01960 - Escorts Tax Plan-Dividend Option-Direct Plan
100175 INF966L01135 - Escorts Tax Plan-Growth
120847 INF966L01986 - Escorts Tax Plan-Growth Option-Direct Plan

Essel Mutual Fund

135653 INF959L01CE3 - Essel Long Term Advantage Fund- Direct Plan- Divi
135654 INF959L01CD5 - Essel Long Term Advantage Fund- Direct Plan- Grow
135652 INF959L01CG8 - Essel Long Term Advantage Fund- Regular Plan- Di
135655 INF959L01CF0 - Essel Long Term Advantage Fund- Regular Plan- Gr

Franklin Templeton Mutual Fund

118541 INF090I01JT6 INF090I01JU4 Franklin India TAXSHIELD - Direct - Dividend


118540 INF090I01JS8 - Franklin India TAXSHIELD - Direct - Growth
100525 INF090I01783 INF090I01791 Franklin India Taxshield-Dividend
100526 INF090I01775 - Franklin India Taxshield-Growth

HDFC Mutual Fund

100997 INF179K01970 INF179K01988 HDFC Long Term Advantage Fund - Dividend Optio
100998 INF179K01996 - HDFC Long Term Advantage Fund - Growth Option
118928 INF179K01WV2 INF179K01WW0 HDFC Long Term Advantage Fund -Direct Plan - Div
118929 INF179K01WX8 - HDFC Long Term Advantage Fund -Direct Plan - Gro
119059 INF179K01YQ8 INF179K01YR6 HDFC TaxSaver -Direct Plan - Dividend Option
119060 INF179K01YS4 - HDFC TaxSaver -Direct Plan - Growth Option
101980 INF179K01AZ9 INF179K01BA0 HDFC TaxSaver-Dividend Plan
101979 INF179K01BB8 - HDFC TaxSaver-Growth Plan

HSBC Mutual Fund

104706 INF336L01AZ3 - HSBC Tax Saver Equity Fund - Dividend


120078 INF336L01ER2 - HSBC Tax Saver Equity Fund - Dividend Direct
104707 INF336L01BA4 - HSBC Tax Saver Equity Fund - Growth
120079 INF336L01EE0 - HSBC Tax Saver Equity Fund - Growth Direct

ICICI Prudential Mutual Fund

120593 INF109K01Y15 INF109K01Y23 ICICI Prudential Long Term Equity Fund (Tax Saving)
120592 INF109K01Y31 - ICICI Prudential Long Term Equity Fund (Tax Saving)
100354 INF109K01464 - ICICI Prudential Long Term Equity Fund (Tax Saving
100353 INF109K01FN1 INF109K01472 ICICI Prudential Long Term Equity Fund (Tax Saving

IDBI Mutual Fund

123635 INF397L01ED4 INF397L01EE2 IDBI Equity Advantage Fund - Dividend Direct


123636 INF397L01DZ9 INF397L01EA0 IDBI Equity Advantage Fund - Dividend Regular
123637 INF397L01EC6 - IDBI Equity Advantage Fund - Growth Direct
123638 INF397L01DY2 - IDBI Equity Advantage Fund - Growth Regular

IDFC Mutual Fund

118472 INF194K01Y37 INF194K01Y45 IDFC Tax Advantage (ELSS) Fund-Direct Plan-Divi


118473 INF194K01Y29 - IDFC Tax Advantage (ELSS) Fund-Direct Plan-Grow
111570 INF194K01300 INF194K01318 IDFC Tax Advantage (ELSS) Fund-Regular Plan-Di
111569 INF194K01292 - IDFC Tax Advantage (ELSS) Fund-Regular Plan-Gr

Invesco Mutual Fund

120417 INF205K01NR2 INF205K01NS0 Invesco India Tax Plan - Direct Plan - Dividend
120416 INF205K01NT8 - Invesco India Tax Plan - Direct Plan - Growth
104635 INF205K01296 INF205K01288 Invesco India Tax Plan - Dividend
104636 INF205K01270 - Invesco India Tax Plan - Growth

JM Financial Mutual Fund

120493 INF192K01CD5 - JM Tax Gain Fund (Direct) - Dividend Option


120494 INF192K01CE3 - JM Tax Gain Fund (Direct) - Growth Option
107287 INF192K01643 - JM Tax Gain Fund - Dividend option
107288 INF192K01650 - JM Tax Gain Fund - Growth option

Kotak Mahindra Mutual Fund

103338 INF174K01377 INF174K01385 Kotak Tax Saver-Scheme-Dividend


119772 INF174K01LJ1 - Kotak Tax Saver-Scheme-Dividend - Direct
103339 INF174K01369 - Kotak Tax Saver-Scheme-Growth
119773 INF174K01LI3 - Kotak Tax Saver-Scheme-Growth - Direct
L&T Mutual Fund

119417 INF917K01GP0 - L&T Tax Advantage Fund-Direct Plan-Growth


118047 INF677K01064 - L&T Tax Advantage Fund-Regular Plan-Growth
119418 INF917K01GO3 INF917K01GN5 L&T Tax Advantage Fund-Direct Plan-Dividend
118048 INF677K01072 INF677K01080 L&T Tax Advantage Fund-Regular Plan-Dividend
112537 INF917K01262 INF917K01270 L&T Tax Saver Fund- Regular Plan - Dividend
112538 INF917K01288 - L&T Tax Saver Fund-Regular Plan - Growth

LIC Mutual Fund

120269 INF767K01EL3 INF767K01EN9 LIC MF Tax Plan-Direct Plan-Dividend


120270 INF767K01EM1 - LIC MF Tax Plan-Direct Plan-Growth
100864 INF767K01931 INF767K01949 LIC MF Tax Plan-Regular Plan-Dividend
100865 INF767K01956 - LIC MF Tax Plan-Regular Plan-Growth
134878 - INF767K01DR2 LIC MF ULIS (10 Yrs. Regular Premium Reducing Cov
134865 - INF767K01998 LIC MF ULIS (10 Yrs. Regular Premium Reducing Cov
134876 - INF767K01DQ4 LIC MF ULIS (10 Yrs. Regular Premium Reducing Cov
134847 - INF767K01980 LIC MF ULIS (10 Yrs. Regular Premium Reducing Co
135976 - INF767K01OY5 LIC MF ULIS (10 Yrs. Regular Premium Reducing Cov
135979 - INF767K01OV1 LIC MF ULIS (10 Yrs. Regular Premium Reducing Co
134877 - INF767K01DS0 LIC MF ULIS (10 Yrs. Regular Premium Reducing Cov
134864 - INF767K01AA4 LIC MF ULIS (10 Yrs. Regular Premium Reducing Co
134879 - INF767K01DU6 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cove
134867 - INF767K01AC0 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cove
134881 - INF767K01DT8 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cove
134863 - INF767K01AB2 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cov
135977 - INF767K01PB0 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cove
135983 - INF767K01PA2 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cove
134880 - INF767K01DV4 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cove
134868 - INF767K01AD8 LIC MF ULIS (10 Yrs. Regular Premium Uniform Cove
134875 - INF767K01DP6 LIC MF ULIS (10 Yrs. Single Premium)-Direct Plan-
134846 - INF767K01972 LIC MF ULIS (10 Yrs. Single Premium)-Regular Plan
134882 - INF767K01DX0 LIC MF ULIS (15 Yrs. Regular Premium Reducing Cov
134870 - INF767K01AF3 LIC MF ULIS (15 Yrs. Regular Premium Reducing Cov
134884 - INF767K01DW2 LIC MF ULIS (15 Yrs. Regular Premium Reducing Cov
134869 - INF767K01AE6 LIC MF ULIS (15 Yrs. Regular Premium Reducing Co
135978 - INF767K01OX7 LIC MF ULIS (15 Yrs. Regular Premium Reducing Cov
135981 - INF767K01OU3 LIC MF ULIS (15 Yrs. Regular Premium Reducing Co
134883 - INF767K01DY8 LIC MF ULIS (15 Yrs. Regular Premium Reducing Cov
134871 - INF767K01AG1 LIC MF ULIS (15 Yrs. Regular Premium Reducing Co
134885 - INF767K01EA6 LIC MF ULIS (15 Yrs. Regular Premium Uniform Cove
134873 - INF767K01AI7 LIC MF ULIS (15 Yrs. Regular Premium Uniform Cove
134887 - INF767K01DZ5 LIC MF ULIS (15 Yrs. Regular Premium Uniform Cove
134872 - INF767K01AH9 LIC MF ULIS (15 Yrs. Regular Premium Uniform Cov
135980 - INF767K01OZ2 LIC MF ULIS (15 Yrs. Regular Premium Uniform Cove
135982 - INF767K01OW9 LIC MF ULIS (15 Yrs. Regular Premium Uniform Cove
134886 - INF767K01EB4 LIC MF ULIS (15 Yrs. Regular Premium Uniform Cove
134874 - INF767K01AJ5 LIC MF ULIS (15Yrs. Regular Premium Uniform Cove
120259 - INF767K01DO9 LIC MF ULIS (5 Yrs. Single Premium)-Direct Plan-D
100325 - INF767K01964 LIC MF ULIS (5 Yrs. Single Premium)-Regular Plan-
Mahindra Mutual Fund

139782 INF174V01101 - Mahindra Mutual Fund Kar Bachat Yojana Direct Pla
139781 INF174V01093 - Mahindra Mutual Fund Kar Bachat Yojana Direct Pla
139780 INF174V01085 - Mahindra Mutual Fund Kar Bachat Yojana Regular Pl
139783 INF174V01077 - Mahindra Mutual Fund Kar Bachat Yojana Regular P

Mirae Asset Mutual Fund

135781 INF769K01DM9 - Mirae Asset Tax Saver Fund-Direct Plan -Growth


135782 INF769K01DN7 - Mirae Asset Tax Saver Fund-Direct Plan-Dividend
135783 INF769K01DL1 - Mirae Asset Tax Saver Fund-Regular Plan-Dividend
135784 INF769K01DK3 - Mirae Asset Tax Saver Fund-Regular Plan-Growth

Motilal Oswal Mutual Fund

133384 INF247L01577 - MOSt Focused Long Term - Direct Plan - Dividend P


133386 INF247L01569 - MOSt Focused Long Term - Direct Plan - Growth Opt
133383 INF247L01551 - MOSt Focused Long Term - Regular Plan - Dividend
133385 INF247L01544 - MOSt Focused Long Term - Regular Plan - Growth O

PRINCIPAL Mutual Fund

101815 INF173K01353 - Principal Personal Tax Saver Fund


119486 INF173K01FA4 - Principal Personal Tax Saver Fund - Direct Plan
100156 INF173K01361 - Principal Tax Savings Fund
119489 INF173K01HZ7 - Principal Tax Savings Fund - Direct Plan
141829 INF173K01NN1 - Principal Tax Savings Fund Direct Plan - Half Yearly
141830 INF173K01NM3 - Principal Tax Savings Fund Regular Plan - Half Year

Quantum Mutual Fund

111550 INF082J01077 INF082J01085 Quantum Tax Saving Fund - Direct Plan Dividend Op
111549 INF082J01069 - Quantum Tax Saving Fund - Direct Plan Growth Opt
141071 INF082J01374 - Quantum Tax Saving Fund - Regular Plan Dividend
141070 INF082J01366 - Quantum Tax Saving Fund - Regular Plan Growth Op

Reliance Mutual Fund

133865 INF204KA1E12 - Reliance Tax Saver (ELSS) Fund- Direct Plan-Divid


133866 INF204KA1E04 - Reliance Tax Saver (ELSS) Fund- Dividend Plan- An
103197 INF204K01GL2 INF204K01GM0 Reliance Tax Saver (ELSS) Fund-Dividend Plan-Div
103196 INF204K01GK4 - Reliance Tax Saver (ELSS) Fund-Growth Plan-Growt
118801 INF204K01L30 INF204K01L48 Reliance Tax Saver Fund - Direct Plan Dividend Plan
118803 INF204K01L55 - Reliance Tax Saver Fund - Direct Plan Growth Plan

Sahara Mutual Fund

100337 INF515L01189 INF515L01197 SaharaTax Gain-Dividend


120290 INF515L01783 INF515L01791 SaharaTax Gain-Dividend- Direct
100338 INF515L01205 - SaharaTax Gain-Growth
120291 INF515L01809 - SaharaTax Gain-Growth- direct

SBI Mutual Fund

119722 INF200K01UK3 - SBI MAGNUM TAXGAIN SCHEME 1993 - DIRECT P


103883 INF200K01479 - SBI MAGNUM TAXGAIN SCHEME 1993 - REGULAR
119723 INF200K01UM9 - SBI MAGNUM TAXGAIN SCHEME 1993 - DIRECT
105628 INF200K01495 - SBI MAGNUM TAXGAIN SCHEME 1993 - REGULA

Sundaram Mutual Fund

100614 INF903J01512 INF903J01520 Sundaram Diversified Equity - A Long-term Tax Save


119548 INF903J01NL7 INF903J01NM5 Sundaram Diversified Equity- A Long-term Tax Saver
119549 INF903J01NN3 - Sundaram Diversified Equity - A Long-term Tax Saver
101853 INF903J01538 - Sundaram Diversified Equity-A Long-term Tax Save

Tata Mutual Fund

100474 INF277K01I60 INF277K01I78 Tata India Tax Savings Fund-Dividend- Regular Plan
132757 INF277K01I52 - Tata India Tax Savings Fund-Growth-Regular Plan
119281 INF277K01I94 INF277K01J02 Tata India Tax Savings Fund-Dividend -Direct Plan
132756 INF277K01I86 - Tata India Tax Savings Fund-Growth-Direct Plan

Taurus Mutual Fund

118867 INF044D01CH4 INF044D01CI2 Taurus Tax Shield-Direct Plan-Dividend Option


118866 INF044D01CG6 INF044D01AA3 Taurus Tax Shield-Direct Plan-Growth Option
108402 INF044D01997 - Taurus Tax Shield-Dividend Option
100480 INF044D01AC9 - Taurus Tax Shield-Growth Option

Union Mutual Fund

119306 INF582M01781 INF582M01773 Union Tax Saver Scheme - Direct Plan - Dividend Op
119307 INF582M01765 - Union Tax Saver Scheme - Direct Plan - Growth Opt
116052 INF582M01328 INF582M01310 Union Tax Saver Scheme - Dividend Option
116051 INF582M01302 - Union Tax Saver Scheme - Growth Option

UTI Mutual Fund

120715 INF789F01TF7 - UTI - Long Term Equity Fund (Tax Saving) - Direct P
100820 INF789F01521 INF789F01539 UTI - Long Term Equity Fund (Tax Saving) - Regular
100821 INF789F01547 - UTI - Long Term Equity Fund (Tax Saving) - Regular
120714 INF789F01TD2 INF789F01TE0 UTI - Long Term Equity fund (Tax Saving) Direct Pla

Open Ended Schemes(Floating Rate)

Aditya Birla Sun Life Mutual Fund

122645 INF209K01UW9 - Aditya Birla Sun Life Floating Rate Fund-Long Term
122646 INF209K01UX7 - Aditya Birla Sun Life Floating Rate Fund-Long Term
122648 INF209K01UY5 - Aditya Birla Sun Life Floating Rate Fund-Long Term
122643 - INF209KA1LN1 Aditya Birla Sun Life Floating Rate Fund-Long Term
122644 INF209K01MG9 - Aditya Birla Sun Life Floating Rate Fund-Long Term
122647 - INF209K01MH7 Aditya Birla Sun Life Floating Rate Fund-Long Term
122650 INF209K01MF1 - Aditya Birla Sun Life Floating Rate Fund-Long Term
122649 - INF209K01MI5 Aditya Birla Sun Life Floating Rate Fund-Long Term

Canara Robeco Mutual Fund

104559 - INF760K01803 Canara Robeco Savings Plus Fund - Regular Pla


113144 INF760K01AM4 INF760K01AN2 Canara Robeco Savings Plus Fund - Regular Plan
118293 - INF760K01EM6 Canara Robeco Savings Plus Fund- Direct Plan - Da
118294 INF760K01ER5 INF760K01ES3 Canara Robeco Savings Plus Fund- Direct Plan - We
102914 INF760K01779 INF760K01787 Canara Robeco Savings Plus Fund- Regular Plan -
102913 INF760K01795 - Canara Robeco Savings Plus Fund- Regular Plan
102915 INF760K01CB3 INF760K01811 Canara Robeco Savings Plus Fund- Regular Plan -
118292 INF760K01EP9 INF760K01EQ7 Canara Robeco Savings Plus Fund-Direct Plan - Div
118291 INF760K01ET1 - Canara Robeco Savings Plus Fund-Direct Plan - Gro
118295 INF760K01EN4 INF760K01EO2 Canara Robeco Savings Plus Fund-Direct Plan - Mon

Escorts Mutual Fund

103465 INF966L01382 INF966L01390 Escorts Short Term Debt Fund-Dividend Option


120844 INF966L01929 INF966L01937 Escorts Short Term Debt Fund-Dividend Option-Direc
103464 INF966L01408 - Escorts Short Term Debt Fund-Growth Option
120845 INF966L01945 - Escorts Short Term Debt Fund-Growth Option-Direct

Franklin Templeton Mutual Fund

122443 - INF090I01KM9 Franklin India Savings Plus Fund - Daily Dividend op


122444 - INF090I01KN7 Franklin India Savings Plus Fund - Daily Dividend opt
118506 INF090I01GV8 - Franklin India Savings Plus Fund - Direct - Growth
129437 INF090I01LC8 INF090I01LD6 Franklin India Savings Plus Fund - Direct - Monthly
118505 INF090I01GT2 INF090I01GU0 Franklin India Savings Plus Fund - Direct - Quarterly
101356 INF090I01BZ0 INF090I01BY3 Franklin India Savings Plus Fund - Dividend Option
101357 INF090I01CA1 - Franklin India Savings Plus Fund - Growth Option
101359 INF090I01BW7 INF090I01BV9 Franklin India Savings Plus Fund - Institutional Optio
101358 INF090I01BX5 - Franklin India Savings Plus Fund - Institutional Opti
129436 INF090I01LA2 INF090I01LB0 Franklin India Savings Plus Fund - Monthly Dividend

HDFC Mutual Fund

134209 INF179KA16J1 - HDFC Floating Rate Income Fund - Direct Plan - Nor
134210 INF179KA17J9 - HDFC Floating Rate Income Fund - Regular Plan - N
119112 INF179K01VN1 - HDFC Floating Rate Income Fund Long -Direct Plan
119111 - - HDFC Floating Rate Income Fund Long -Direct Plan
101671 INF179K01624 - HDFC Floating Rate Income Fund-Long Term Pla
101670 - INF179K01616 HDFC Floating Rate Income Fund-Long Term Plan-W

Kotak Mahindra Mutual Fund


110575 INF174K01FE4 - Kotak Treasury Advantage Fund -Daily Dividend
119749 INF174K01JT4 - Kotak Treasury Advantage Fund -Daily Dividend - Di
102591 INF174K01FD6 - Kotak Treasury Advantage Fund -Growth
102592 INF174K01FH7 - Kotak Treasury Advantage Fund -Monthly Dividend
102590 INF174K01FF1 - Kotak Treasury Advantage Fund -Weekly Dividend
119751 INF174K01JQ0 - Kotak Treasury Advantage Fund-Monthly Dividend -
119752 INF174K01JR8 - Kotak Treasury Advantage Fund-Weekly Dividend - D
119750 INF174K01JP2 - Kotak Treasury Advatage Fund-Growth - Direct

SBI Mutual Fund

119820 INF200K01SX0 INF200K01SY8 SBI SAVINGS FUND - DIRECT PLAN - DIVIDEND


102504 INF200K01644 - SBI SAVINGS FUND - REGULAR PLAN - DIVIDEN
119821 INF200K01SZ5 - SBI SAVINGS FUND - DIRECT PLAN - GROWTH
102503 INF200K01636 - SBI SAVINGS FUND - REGULAR PLAN - GROWT
119823 INF200K01TA6 INF200K01TB4 SBI SAVINGS FUND - DIRECT PLAN - WEEKLY D
102860 INF200K01669 INF200K01677 SBI SAVINGS FUND - REGULAR PLAN - WEEKLY
119822 - INF200K01SW2 SBI SAVINGS FUND - DIRECT PLAN - DAILY DIV
114348 - INF200K01651 SBI SAVINGS FUND - REGULAR PLAN - DAILY DI
102507 - - OLD-SBI Magnum Income Fund - F R P - Long Term -

Tata Mutual Fund

102154 INF277K01DM3 INF277K01493 Tata Floating Rate Fund - Regular Plan- Dividend

UTI Mutual Fund

134484 INF789FA1P43 INF789FA1P50 UTI - Floating Rate STP - Annual Div Option
139568 INF789FA1Q42 INF789FA1Q59 UTI - Floating Rate STP - Direct Plan - Annual Div O
131511 INF789FA1O69 INF789FA1O77 UTI - Floating Rate STP - Fortnightly Div Option
131512 INF789FA1P68 INF789FA1P76 UTI - Floating Rate STP - Fortnightly Div Option - Dir
134799 INF789FA1P27 INF789FA1P35 UTI - Floating Rate STP - Half Yearly Div Option
112083 INF789F01PM1 - UTI - FLOATING RATE STP - INSTN GROWTH OP
112082 - INF789F01PL3 UTI - FLOATING RATE STP - INSTN PLAN - PERI
131445 INF789FA1O85 INF789FA1O93 UTI - Floating Rate STP - Monthly Div Option
131444 INF789FA1P84 INF789FA1P92 UTI - Floating Rate STP - Monthly Div Option - Direc
133873 INF789FA1P01 INF789FA1P19 UTI - Floating Rate STP - Quarterly Div Option
133059 INF789FA1Q00 INF789FA1Q18 UTI - Floating Rate STP - Quarterly Div Option - Dire
121891 INF789FB1KS6 INF789FB1KT4 UTI - FLOATING RATE STP -Regular Plan (Flexi Div
121892 INF789FB1KQ0 INF789FB1KR8 UTI - FLOATING RATE STP -Regular Plan (Flexi Div
109501 - INF789F01554 UTI - FLOATING RATE STP-DAILY DIVIDEND
120744 INF789F01TG5 INF789F01TH3 UTI - FLOATING RATE STP-DAILY DIVIDEND-Direc
102531 - INF789F01562 UTI - FLOATING RATE STP-DIVIDEND
102532 INF789F01570 - UTI - FLOATING RATE STP-GROWTH
120746 INF789F01TI1 - UTI - FLOATING RATE STP-GROWTH-direct
120745 INF789FB1S63 - UTI - FLOATING RATE STP-Weekly Dividend- Direc

Open Ended Schemes(Fund of Funds - Domestic)

Aditya Birla Sun Life Mutual Fund


131897 INF084M01DQ0 INF084M01DR8 Aditya Birla Sun Life Active Debt Multi Manager FoF
131898 INF084M01DP2 - Aditya Birla Sun Life Active Debt Multi Manager FoF
131895 INF084M01AI3 INF084M01AJ1 Aditya Birla Sun Life Active Debt Multi Manager FoF
131896 INF084M01AH5 - Aditya Birla Sun Life Active Debt Multi Manager Fo
131866 INF084M01DN7 INF084M01DO5 Aditya Birla Sun Life Asset Allocator Multi Manager
131865 INF084M01DM9 - Aditya Birla Sun Life Asset Allocator Multi Manager
131863 INF084M01AF9 INF084M01AG7 Aditya Birla Sun Life Asset Allocator Multi Manager
131864 INF084M01AE2 - Aditya Birla Sun Life Asset Allocator Multi Manager
132187 INF084M01EX4 INF084M01EY2 Aditya Birla Sun Life Financial Planning Fund - Aggre
132186 INF084M01EW6 - Aditya Birla Sun Life Financial Planning Fund - Aggr
132181 INF084M01119 INF084M01127 Aditya Birla Sun Life Financial Planning Fund - Aggr
132180 INF084M01101 - Aditya Birla Sun Life Financial Planning Fund - Aggr
132184 INF084M01ER6 INF084M01ES4 Aditya Birla Sun Life Financial Planning Fund - Conse
132183 INF084M01EQ8 - Aditya Birla Sun Life Financial Planning Fund - Cons
132179 INF084M01051 INF084M01069 Aditya Birla Sun Life Financial Planning Fund - Cons
132178 INF084M01044 - Aditya Birla Sun life Financial Planning Fund - Cons
132189 INF084M01EU0 INF084M01EV8 Aditya Birla Sun Life Financial Planning Fund - Prude
132185 INF084M01ET2 - Aditya Birla Sun Life Financial Planning Fund - Prud
132175 INF084M01085 INF084M01093 Aditya Birla Sun Life Financial Planning Fund - Prud
132174 INF084M01077 - Aditya Birla Sun Life Financial Planning Fund - Prud
120545 INF209K01YT7 - Aditya Birla Sun Life Gold Fund - Dividend - Direct P
120546 INF209K01YU5 - Aditya Birla Sun Life Gold Fund - Growth - Direct Pla
116795 INF209K01PG2 INF209K01PH0 Aditya Birla Sun Life Gold Fund-Dividend
116796 INF209K01PF4 - Aditya Birla Sun Life Gold Fund-Growth

Axis Mutual Fund

120472 INF846K01DQ6 INF846K01DR4 Axis Gold Fund - Direct Plan - Dividend option
120473 INF846K01DS2 - Axis Gold Fund - Direct Plan - Growth option
115898 INF846K01AM1 INF846K01AN9 Axis Gold Fund - Dividend Option
115897 INF846K01AL3 - Axis Gold Fund - Growth Option

Canara Robeco Mutual Fund

118300 INF760K01FD2 INF760K01FE0 Canara Robeco Gold Savings Fund - Direct Plan - D
118301 INF760K01FF7 - Canara Robeco Gold Savings Fund - Direct Plan - G
117540 INF760K01BY7 INF760K01BX9 Canara Robeco Gold Savings Fund - Regular Plan -
117541 INF760K01BW1 - Canara Robeco Gold Savings Fund - Regular Plan -

DSP BlackRock Mutual Fund

126393 INF740K01K81 - DSP BlackRock Dynamic Asset Allocation Fund - Dir


126391 INF740K01K99 INF740K01L07 DSP BlackRock Dynamic Asset Allocation Fund - Dire
126394 INF740K01K57 - DSP BlackRock Dynamic Asset Allocation Fund - Reg
126392 INF740K01K65 INF740K01K73 DSP BlackRock Dynamic Asset Allocation Fund - Reg

Franklin Templeton Mutual Fund

118542 INF090I01HT0 INF090I01HU8 Franklin India Dynamic PE Ratio Fund Of Funds - Dir
118543 INF090I01HV6 - Franklin India Dynamic PE Ratio Fund Of Funds - Dir
101657 INF090I01247 INF090I01254 Franklin India Dynamic PE Ratio Fund of Funds-Divi
101656 INF090I01262 - Franklin India Dynamic PE Ratio Fund of Funds-Gro
102108 INF090I01577 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118511 INF090I01HW4 INF090I01HX2 Franklin INDIA LIFE STAGE FUND OF FUNDS - THE
102107 INF090I01593 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118512 INF090I01HY0 - Franklin INDIA LIFE STAGE FUND OF FUNDS - THE
102110 INF090I01601 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118513 INF090I01HZ7 INF090I01IA8 Franklin India Life Stage Fund of Funds - The 30s Pla
102109 INF090I01627 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118514 INF090I01IB6 - Franklin India Life Stage Fund of Funds - The 30s Pl
102111 INF090I01635 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118515 INF090I01IC4 INF090I01ID2 Franklin India Life Stage Fund of Funds - The 40s Pla
102112 INF090I01650 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118516 INF090I01IE0 - Franklin India Life Stage Fund of Funds - The 40s Pl
102113 INF090I01668 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118517 INF090I01IF7 INF090I01IG5 Franklin India Life Stage Fund of Funds - The 50s Plu
102114 INF090I01684 - Franklin INDIA LIFE STAGE FUND OF FUNDS - TH
118518 INF090I01IH3 - Franklin India Life Stage Fund of Funds - The 50s Pl
102547 INF090I01718 - Franklin India Life Stage Fund of Funds - The 50s Pl
118519 INF090I01JO7 - Franklin India Life Stage Fund Of Funds - The 50S Pl
118520 INF090I01JM1 INF090I01JN9 Franklin India Life Stage Fund Of Funds - The 50S Pl
102546 INF090I01692 - Franklin India Life Stage Fund of Funds The 50s Plus
132988 INF090I01LF1 INF090I01LG9 Franklin India Multi - Asset Solution Fund - Dividend
132990 INF090I01LI5 INF090I01LJ3 Franklin India Multi - Asset Solution Fund - Dividend
132987 INF090I01LE4 - Franklin India Multi - Asset Solution Fund - Growth P
132989 INF090I01LH7 - Franklin India Multi - Asset Solution Fund - Growth Pl

HDFC Mutual Fund

130547 INF179KA1SD3 - HDFC Dynamic PE Ratio Fund of Funds - Direct Div


130543 INF179KA1SC5 - HDFC Dynamic PE Ratio Fund of Funds - Direct Gro
130540 INF179KA1SG6 - HDFC Dynamic PE Ratio Fund of Funds - Regular D
130533 INF179KA1SF8 - HDFC Dynamic PE Ratio Fund of Funds - Regular G
115934 INF179K01LC5 - HDFC GOLD FUND - GROWTH OPTION
119132 INF179K01VX0 - HDFC Gold Fund-Direct Plan

HSBC Mutual Fund

129196 INF336L01IL6 - HSBC Managed Solutions - Convervative - Dividend


129195 INF336L01IM4 - HSBC Managed Solutions - Convervative - Growth
129197 INF336L01IP7 - HSBC Managed Solutions - Convervative - Growth Di
129199 INF336L01HZ8 - HSBC Managed Solutions - Growth - Dividend
129201 INF336L01IC5 - HSBC Managed Solutions - Growth - Dividend Direct
129065 INF336L01IA9 - HSBC Managed Solutions - Growth - Growth
129200 INF336L01ID3 - HSBC Managed Solutions - Growth - Growth Direct
129192 INF336L01IF8 - HSBC Managed Solutions - Moderate - Dividend
129194 INF336L01II2 - HSBC Managed Solutions - Moderate - Dividend Dire
129191 INF336L01IG6 - HSBC Managed Solutions - Moderate - Growth
129193 INF336L01IJ0 - HSBC Managed Solutions - Moderate - Growth Direc

ICICI Prudential Mutual Fund


120243 INF109K01W33 INF109K01W41 ICICI Prudential Advisor Series Long Term Saving Pla
120242 INF109K01W58 - ICICI Prudential Advisor Series Long Term Saving Pl
102133 INF109K01795 - ICICI Prudential Advisor Series Long Term Saving P
102134 INF109K01DW7 INF109K01803 ICICI Prudential Advisor Series Long Term Saving Pl
120314 INF109K01W66 INF109K01W74 ICICI Prudential Cautious - Direct Plan - Dividend
120313 INF109K01W82 - ICICI Prudential Cautious - Direct Plan - Growth
102139 INF109K01811 - ICICI Prudential Cautious - Growth
102140 INF109K01EB9 INF109K01829 ICICI Prudential Cautious - Dividend
120703 INF109K01X57 INF109K01X65 ICICI Prudential Dynamic Accrual Plan - Direct Plan
120702 INF109K01X73 - ICICI Prudential Dynamic Accrual Plan - Direct Plan
102141 INF109K01878 - ICICI Prudential Dynamic Accrual Plan - Growth
102143 INF109K01FS0 INF109K01886 ICICI Prudential Dynamic Accrual Plan - Dividend
120680 INF109K01W90 INF109K01X08 ICICI Prudential Moderate - Direct Plan - Dividend
120679 INF109K01X16 - ICICI Prudential Moderate - Direct Plan - Growth
102137 INF109K01837 - ICICI Prudential Moderate - Growth
102138 INF109K01FJ9 INF109K01845 ICICI Prudential Moderate - Dividend
120686 INF109K01U76 INF109K01U84 ICICI Prudential Regular Gold Savings Fund - Direct
120685 INF109K01U92 - ICICI Prudential Regular Gold Savings Fund - Direct
115834 INF109K01TM4 INF109K01TL6 ICICI Prudential Regular Gold Savings Fund - Divid
115833 INF109K01TK8 - ICICI Prudential Regular Gold Savings Fund - Growt
120700 INF109K01X40 - ICICI Prudential Very Aggressive - Direct Plan - Gr
102135 INF109K01852 - ICICI Prudential Very Aggressive - Growth
102136 INF109K01FR2 INF109K01860 ICICI Prudential Very Aggressive - Dividend

IDBI Mutual Fund

117714 INF397L01992 - IDBI GOLD FUND


118343 INF397L01BU4 - IDBI GOLD FUND Direct

IDFC Mutual Fund

118409 - INF194K01V63 IDFC All Seasons Bond Fund-Direct Plan-Daily Div


118414 INF194K01V55 INF194K01V48 IDFC All Seasons Bond Fund-Direct Plan-Fortnightl
118410 INF194K01U72 - IDFC All Seasons Bond Fund-Direct Plan-Growth
118413 INF194K01V30 INF194K01V22 IDFC All Seasons Bond Fund-Direct Plan-Quarterly
118412 - INF194K01V71 IDFC All Seasons Bond Fund-Direct Plan-Weekly D
108547 INF194K01SG0 INF194K01SF2 IDFC All Seasons Bond Fund-Regular Plan-Annual
117868 - INF194K01F55 IDFC All Seasons Bond Fund-Regular Plan-Daily D
115874 INF194K01SM8 INF194K01SL0 IDFC All Seasons Bond Fund-Regular Plan-Fortnigh
108545 INF194K01SE5 - IDFC All Seasons Bond Fund-Regular Plan-Growth
108546 INF194K01SI6 INF194K01SH8 IDFC All Seasons Bond Fund-Regular Plan-Half Ye
108544 INF194K01SK2 INF194K01SJ4 IDFC All Seasons Bond Fund-Regular Plan-Quarter
117867 - INF194K01F63 IDFC All Seasons Bond Fund-Regular Plan-Weekly
131398 INF194KA1TV4 INF194KA1TW2 IDFC ASBF -Direct Plan_Periodic Dividend
131399 INF194KA1TS0 INF194KA1TT8 IDFC ASBF -Regular Plan_Periodic Dividend
118484 INF194K013B4 INF194K014B2 IDFC Asset Allocation Fund Of Fund-Aggressive Pla
118485 INF194K012B6 - IDFC Asset Allocation Fund Of Fund-Aggressive Pla
112331 INF194K01961 INF194K01979 IDFC Asset Allocation Fund Of Fund-Aggressive Pl
112332 INF194K01953 - IDFC Asset Allocation Fund Of Fund-Aggressive Pl
118487 INF194K017A7 INF194K018A5 IDFC Asset Allocation Fund Of Fund-Conservative P
118486 INF194K016A9 - IDFC Asset Allocation Fund Of Fund-Conservative P
112328 INF194K01995 INF194K01AA1 IDFC Asset Allocation Fund Of Fund-Conservative
112327 INF194K01987 - IDFC Asset Allocation Fund Of Fund-Conservative
118489 INF194K019A3 - IDFC Asset Allocation Fund Of Fund-Moderate Plan
118488 INF194K010B0 INF194K011B8 IDFC Asset Allocation Fund Of Fund-Moderate Plan-
112330 INF194K01AC7 INF194K01AD5 IDFC Asset Allocation Fund Of Fund-Moderate Plan
112329 INF194K01AB9 - IDFC Asset Allocation Fund Of Fund-Moderate Plan

Invesco Mutual Fund

120530 INF205K01NH3 INF205K01NI1 Invesco India Gold Fund - Direct Plan - Dividend
120531 INF205K01NJ9 - Invesco India Gold Fund - Direct Plan- - Growth
116075 INF205K01FB2 INF205K01FC0 Invesco India Gold Fund - Dividend
116077 INF205K01FA4 - Invesco India Gold Fund - Growth

Kotak Mahindra Mutual Fund

119776 INF174K01LO1 - Kotak Asset Allocator Fund Direct Dividend - Direct


119777 INF174K01LN3 - Kotak Asset Allocator Fund Direct Growth - Direct
102573 INF174K01476 INF174K01484 Kotak Asset Allocator Fund Dividend
102574 INF174K01468 - Kotak Asset Allocator Fund Growth
114757 INF174K01AV9 INF174K01AU1 Kotak Gold Fund Dividend
119780 INF174K01MQ4 - Kotak Gold Fund Dividend - Direct
114758 INF174K01AT3 - Kotak Gold Fund Growth
119781 INF174K01MP6 - Kotak Gold Fund Growth - Direct

PRINCIPAL Mutual Fund

135749 INF173K01MX2 - Principal Aseet Allocation Fund of Funds - Aggressiv


135750 INF173K01MW4 - Principal Asset Allocation Fund of Funds - Aggressiv
135751 INF173K01MT0 - Principal Asset Allocation Fund of Funds - Conservat
135752 INF173K01MS2 - Principal Asset Allocation Fund of Funds - Conserva
135753 INF173K01MV6 - Principal Asset Allocation Fund of Funds - Moderate
135754 INF173K01MU8 - Principal Asset Allocation Fund of Funds - Moderate

Quantum Mutual Fund

112038 INF082J01101 INF082J01119 Quantum Equity Fund of Funds - Direct Plan Dividen
112039 INF082J01093 - Quantum Equity Fund of Funds - Direct Plan Growth
141062 INF082J01283 INF082J01291 Quantum Equity Fund of Funds - Regular Plan Divid
141063 INF082J01275 - Quantum Equity Fund of Funds - Regular Plan Grow
115132 INF082J01150 - Quantum Gold Savings Fund - Direct Plan Growth O
141064 INF082J01358 - Quantum Gold Savings Fund - Regular Plan Growth
117608 INF082J01168 - Quantum Multi Asset Fund - Direct Plan Growth Opti
141072 INF082J01341 - Quantum Multi Asset Fund - Regular Plan Growth Op

Reliance Mutual Fund

118662 INF204K01YD2 INF204K01YE0 Reliance Gold Savings Fund - Direct Plan Dividend
118663 INF204K01YC4 - Reliance Gold Savings Fund - Direct Plan Growth Pl
114617 INF204K01KO8 INF204K01KP5 Reliance Gold Savings Fund-Dividend Plan
114616 INF204K01KN0 - Reliance Gold Savings Fund-Growth plan- Growth O
SBI Mutual Fund

119789 INF200K01RN3 INF200K01RO1 SBI GOLD FUND - DIRECT PLAN - DIVIDEND


115677 INF200K01HB9 INF200K01HC7 SBI GOLD FUND - REGULAR PLAN - DIVIDEND
115676 INF200K01HA1 - SBI GOLD FUND REGULAR PLAN - GROWTH
119788 INF200K01RP8 - SBI GOLD FUND- DIRECT PLAN - GROWTH

Open Ended Schemes(Fund of Funds - Overseas)

Aditya Birla Sun Life Mutual Fund

132141 INF084M01EC8 INF084M01ED6 Aditya Birla Sun Life Global Commodities Fund - Dire
132140 INF084M01EB0 - Aditya Birla Sun Life Global Commodities Fund - Dir
132139 INF084M01AU8 INF084M01AV6 Aditya Birla Sun Life Global Commodities Fund - Reg
132138 INF084M01AT0 - Aditya Birla SUn Life Global Commodities Fund - Re
132010 INF084M01EI5 INF084M01EJ3 Aditya Birla Sun Life Global Real Estate Fund - Retai
132009 INF084M01EH7 - Aditya Birla Sun Life Global Real Estate Fund - Retai
132003 INF084M01BA8 INF084M01BB6 Aditya Birla Sun Life Global Real Estate Fund - Retai
132005 INF084M01AZ7 - Aditya Birla Sun Life Global Real Estate Fund - Reta
132121 INF084M01EL9 INF084M01EM7 Aditya Birla Sun Life Latin America Equity Fund - Dir
132120 INF084M01EK1 - Aditya Birla Sun Life Latin America Equity Fund - Di
132117 INF084M01BG5 INF084M01BH3 Aditya Birla Sun Life Latin America Equity Fund - Re
132118 INF084M01BF7 - Aditya Birla Sun Life Latin America Equity Fund - Re

DHFL Pramerica Mutual Fund

138457 INF223J01NJ4 - DHFL Pramerica Euro Equity Fund - Direct Plan - Di


138456 INF223J01NL0 - DHFL Pramerica Euro Equity Fund - Direct Plan - Gr
138454 INF223J01AW4 - DHFL Pramerica Euro Equity Fund - Dividend
138453 INF223J01AY0 - DHFL Pramerica Euro Equity Fund - Growth
138524 INF223J01AS2 - DHFL Pramerica Global Agribusiness Fund - Dividen
138523 INF223J01AU8 - DHFL Pramerica Global Agribusiness Fund - Growth
138525 INF223J01AV6 - DHFL Pramerica Global Agribusiness Offshore Fund
138527 INF223J01NG0 - DHFL Pramerica Global Agribusiness Offshore Fund -
138528 INF223J01NF2 - DHFL Pramerica Global Agribusiness Offshore Fund -

DSP BlackRock Mutual Fund

130491 INF740K01Z68 INF740K01Z76 DSP BlackRock Global Allocation Fund - Direct Plan
130493 INF740K01Z50 - DSP BlackRock Global Allocation Fund - Direct Plan
130490 INF740K01Z35 INF740K01Z43 DSP BlackRock Global Allocation Fund - Regular Pla
130492 INF740K01Z27 - DSP BlackRock Global Allocation Fund - Regular Pl
119253 INF740K01OI5 INF740K01OJ3 DSP BlackRock US Flexible Equity Fund - Direct Pla
119252 INF740K01OH7 - DSP BlackRock US Flexible Equity Fund - Direct Pla
117692 INF740K01LQ4 - DSP BlackRock US Flexible Equity Fund - Regular Pl
117691 INF740K01LP6 - DSP BlackRock US Flexible Equity Fund - Regular P
119272 INF740K01OF1 INF740K01OG9 DSP BlackRock World Agriculture Fund - Direct Plan
119271 INF740K01OE4 - DSP BlackRock World Agriculture Fund - Direct Plan
115881 INF740K01EL0 - DSP BlackRock World Agriculture Fund - Regular Pla
115882 INF740K01EK2 - DSP BlackRock World Agriculture Fund - Regular Pl
119276 INF740K01PD3 INF740K01PE1 DSP BlackRock World Energy Fund - Direct Plan - D
119275 INF740K01PC5 - DSP BlackRock World Energy Fund - Direct Plan - G
112127 INF740K01292 INF740K01300 DSP BlackRock World Energy Fund - Regular Plan -
112126 INF740K01284 - DSP BlackRock World Energy Fund - Regular Plan -
119278 INF740K01PA9 INF740K01PB7 DSP BlackRock World Gold Fund - Direct Plan - Div
119277 INF740K01OZ9 - DSP BlackRock World Gold Fund - Direct Plan - Gro
106596 INF740K01268 INF740K01276 DSP BlackRock World Gold Fund - Regular Plan - Di
106597 INF740K01250 - DSP BlackRock World Gold Fund - Regular Plan - G
119280 INF740K01PG6 INF740K01PH4 DSP BlackRock World Mining Fund - Direct Plan - Di
119279 INF740K01PF8 - DSP BlackRock World Mining Fund - Direct Plan - G
112347 INF740K01748 INF740K01AL8 DSP BlackRock World Mining Fund - Regular Plan -
112293 INF740K01730 - DSP BlackRock World Mining Fund - Regular Plan -

Edelweiss Mutual Fund

140256 INF843K01AW7 - Edelweiss ASEAN Equity Off-shore Fund - Direct Pla


140255 INF843K01609 - Edelweiss ASEAN Equity Off-shore Fund - Regular P
140327 INF843K01IZ3 - Edelweiss Emerging Markets Opportunities Equity Of
140328 INF843K01IY6 - Edelweiss Emerging Markets Opportunities Equity Of
140296 INF843K01GI3 - Edelweiss Europe Dynamic Equity Offshore Fund - Gr
140295 INF843K01GJ1 - Edelweiss Europe Dynamic Equity Offshore Fund - G
140243 INF843K01AU1 - Edelweiss Greater China Equity Off-shore Fund - Dir
140242 INF843K01138 - Edelweiss Greater China Equity Off-shore Fund - Re
140274 INF843K01EC1 - Edelweiss US Value Equity Offshore Fund - Direct P
140273 INF843K01ED9 - Edelweiss US Value Equity Offshore Fund - Regular

Franklin Templeton Mutual Fund

129441 INF090I01KY4 INF090I01KZ1 Franklin India Feeder - Franklin European Growth Fun
129440 INF090I01KX6 - Franklin India Feeder - Franklin European Growth Fu
129439 INF090I01KV0 INF090I01KW8 Franklin India Feeder - Franklin European Growth Fu
129438 INF090I01KU2 - Franklin India Feeder - Franklin European Growth F
116632 INF090I01EV3 INF090I01EU5 Franklin India Feeder - Franklin U.S. Opportunities
116633 INF090I01EW1 - Franklin India Feeder - Franklin U.S. Opportunities
118550 INF090I01JP4 INF090I01JQ2 Franklin India Feeder - Franklin US Opportunities Fun
118551 INF090I01JR0 - Franklin India Feeder - Franklin US Opportunities Fu

HSBC Mutual Fund

127070 INF336L01HD5 INF336L01HE3 HSBC Asia Pacific (Ex Japan) Dividend Yield Fund -
127072 INF336L01HG8 INF336L01HH6 HSBC Asia Pacific (Ex Japan) Dividend Yield Fund -
127073 INF336L01HC7 - HSBC Asia Pacific (Ex Japan) Dividend Yield Fund -
127071 INF336L01HF0 - HSBC Asia Pacific (Ex Japan) Dividend Yield Fund -
120036 INF336L01BW8 INF336L01BX6 HSBC Brazil Fund - Dividend Direct
120035 INF336L01BY4 - HSBC Brazil Fund - Growth Direct
115117 INF336L01172 INF336L01180 HSBC Brazil Fund-Dividend
115116 INF336L01164 - HSBC Brazil Fund-Growth
120044 INF336L01CH7 INF336L01CI5 HSBC - Emerging Market Fund - Dividend Direct
120043 INF336L01CJ3 - HSBC - Emerging Market Fund - Growth Direct
107989 INF336L01438 INF336L01420 HSBC Emerging Markets Fund - Dividend
107988 INF336L01446 - HSBC Emerging Markets Fund - Growth
133713 INF336L01JU5 - HSBC Global Consumer Opportunities Fund - Growt
133714 INF336L01JT7 - HSBC Global Consumer Opportunities Fund - Growth

ICICI Prudential Mutual Fund

123652 INF109KA1CG5 INF109KA1CF7 ICICI Prudential Global Stable Equity Fund - Direct -
123654 INF109KA1CE0 - ICICI Prudential Global Stable Equity Fund - Direct
123653 INF109KA1CD2 INF109KA1CC4 ICICI Prudential Global Stable Equity Fund - Dividen
123651 INF109KA1CB6 - ICICI Prudential Global Stable Equity Fund - Growth

Invesco Mutual Fund

129190 INF205K01B56 INF205K01B64 Invesco India Global Equity Income Fund - Direct Pla
129188 INF205K01B49 - Invesco India Global Equity Income Fund - Direct Pl
129189 INF205K01B23 INF205K01B31 Invesco India Global Equity Income Fund - Regular P
129187 INF205K01B15 - Invesco India Global Equity Income Fund - Regular
126352 INF205K01A32 INF205K01A40 Invesco India Pan European Equity Fund - Direct Pla
126353 INF205K01A24 - Invesco India Pan European Equity Fund - Direct Pl
126350 INF205K01A08 INF205K01A16 Invesco India Pan European Equity Fund - Regular P
126351 INF205K01ZZ9 - Invesco India Pan European Equity Fund - Regular P

Kotak Mahindra Mutual Fund

133832 INF178L01CN1 INF178L01CM3 Kotak US Equity Fund - Direct Plan - Dividend option
133831 INF178L01CL5 - Kotak US Equity Fund - Direct Plan - Growth option
133830 INF178L01CK7 INF178L01CJ9 Kotak US Equity Fund - Standard Plan - Dividend op
133833 INF178L01CI1 - Kotak US Equity Fund - Standard Plan - Growth opti
133814 INF178L01145 INF178L01137 Kotak World Gold Fund - Standard Plan - Dividend O
133815 INF178L01152 - Kotak World Gold Fund - Standard Plan - Growth Op
133817 INF178L01AM7 INF178L01AN5 Kotak World Gold Fund- Direct Plan- Dividend Optio
133816 INF178L01AO3 - Kotak World Gold Fund- Direct Plan- Growth Option

PRINCIPAL Mutual Fund

119458 INF173K01FJ5 INF173K01FK3 Principal Global Opportunities Fund- Direct Plan - D


102336 INF173K01CQ7 INF173K01CR5 Principal Global Opportunities Fund- Dividend Optio
119457 INF173K01FM9 - Principal Global Opportunities Fund-Direct Plan - Gr
102337 INF173K01CT1 - Principal Global Opportunities Fund-Growth Option

Sundaram Mutual Fund

119601 INF903J01NZ7 INF903J01OA8 Sundaram Global Advantage - Direct Plan - Dividend


119602 INF903J01OB6 - Sundaram Global Advantage - Direct Plan - Growth
106369 INF903J01EY9 INF903J01EZ6 Sundaram Global Advantage Fund Dividend
106370 INF903J01EX1 - Sundaram Global Advantage Fund Growth

Open Ended Schemes(Gilt)

Aditya Birla Sun Life Mutual Fund

119614 INF209K01XS1 - Aditya Birla Sun Life Constant Maturity 10 Year Gilt
100061 INF209K01AH2 - Aditya Birla Sun Life Constant Maturity 10 Year Gilt
119615 INF209KA1KX2 INF209K01XT9 Aditya Birla Sun Life Constant Maturity 10 Year Gilt
100060 INF209K01AI0 INF209K01DR5 Aditya Birla Sun Life Constant Maturity 10 Year Gilt
119605 INF209K01XP7 - Aditya Birla Sun Life Gilt Plus - PF Plan - Growth - D
100058 INF209K01AC3 INF209K01AD1 Aditya Birla Sun Life Gilt Plus - PF Plan - Growth -
119606 INF209KA1LC4 - Aditya Birla Sun Life Gilt Plus - PF Plan - Quarterly
100057 INF209K01AF6 INF209K01DP9 Aditya Birla Sun Life Gilt Plus - PF Plan - Quarterly
100059 - INF209K01DO2 Aditya Birla Sun Life Gilt Plus-PF Plan (Annual Divid
100062 - INF209K01DQ7 Aditya Birla Sun Life Gilt Plus-Regular Plan (Annual

Axis Mutual Fund

128957 INF846K01NJ0 - Axis Constant Maturity 10 Year Fund - Direct Plan -


120448 INF846K01DF9 INF846K01DE2 Axis Constant Maturity 10 Year Fund - Direct Plan -
120449 INF846K01DG7 INF846K01DH5 Axis Constant Maturity 10 Year Fund - Direct Plan -
116471 INF846K01AX8 - Axis Constant Maturity 10 Year Fund - Growth Optio
116472 INF846K01AZ3 INF846K01BB2 Axis Constant Maturity 10 Year Fund - Half Yearly D
116470 INF846K01CK1 INF846K01CL9 Axis Constant Maturity 10 Year Fund - Regular Divi
120447 INF846K01DD4 - Axis Constatnt Maturity 10 Year Fund - Direct Plan -

Baroda Pioneer Mutual Fund

101188 INF955L01435 INF955L01443 BARODA PIONEER GILT FUND - Plan A - Dividend


101187 INF955L01450 - BARODA PIONEER GILT FUND - Plan A - Growth O
119340 INF955L01AB1 - BARODA PIONEER GILT FUND - Plan B (Direct) - Di
119341 INF955L01AD7 - BARODA PIONEER GILT FUND - Plan B (Direct) - G

BNP Paribas Mutual Fund

122393 INF251K01JB8 INF251K01JL7 BNP Paribas Government Securities Fund - Annual d


122291 INF251K01JC6 INF251K01JM5 BNP Paribas Government Securities Fund - Calendar
122376 INF251K01JK9 INF251K01JS2 BNP Paribas Government Securities Fund - Direct Pl
122374 INF251K01JG7 - BNP Paribas Government Securities Fund - Direct Pl
122400 INF251K01JH5 INF251K01JP8 BNP Paribas Government Securities Fund - Direct Pl
122289 INF251K01JF9 - BNP Paribas Government Securities Fund - Growth
122293 INF251K01JD4 INF251K01JN3 BNP Paribas Government Securities Fund - Half year
122290 INF251K01JE2 INF251K01JO1 BNP Paribas Government Securities Fund -Monthly d

Canara Robeco Mutual Fund

118296 INF760K01EU9 INF760K01EV7 Canara Robeco Gilt Advantage Fund - Direct Plan -
118297 INF760K01EW5 - Canara Robeco Gilt Advantage Fund - Direct Plan -
114683 INF760K01BD1 INF760K01BC3 Canara Robeco Gilt Advantage Fund - Regular Plan
114682 INF760K01BB5 - Canara Robeco Gilt Advantage Fund - Regular Plan
100596 INF760K01AB7 INF760K01AC5 Canara Robeco Gilt PGS - Regular Plan - Dividend
100597 INF760K01AE1 - Canara Robeco Gilt PGS - Regular Plan - Growth
118298 INF760K01FA8 INF760K01FB6 Canara Robeco Gilt PGS-Direct Plan - Dividend Opti
118299 INF760K01FC4 - Canara Robeco Gilt PGS-Direct Plan - Growth optio

DHFL Pramerica Mutual Fund


138471 INF223J01AR4 - DHFL Pramerica Gilt Fund - Bonus
138474 INF223J01NB1 - DHFL Pramerica Gilt Fund - Direct Plan - Dividend
138472 INF223J01ND7 - DHFL Pramerica Gilt Fund - Direct Plan - Growth
138476 INF223J01VM1 - DHFL Pramerica Gilt Fund - Direct Plan - Half Yearl
138467 INF223J01AO1 - DHFL Pramerica Gilt Fund - Dividend
138470 INF223J01AQ6 - DHFL Pramerica Gilt Fund - Growth
138475 INF223J01VL3 - DHFL Pramerica Gilt Fund - Half Yearly Bonus

DSP BlackRock Mutual Fund

131304 INF740K010J2 INF740K011J0 DSP BlackRock Constant Maturity 10Y G-Sec Fund -
131301 INF740K019I5 - DSP BlackRock Constant Maturity 10Y G-Sec Fund -
131303 INF740K012J8 INF740K013J6 DSP BlackRock Constant Maturity 10Y G-Sec Fund -
131302 INF740K014J4 INF740K015J1 DSP BlackRock Constant Maturity 10Y G-Sec Fund - D
131298 INF740K013I8 INF740K014I6 DSP BlackRock Constant Maturity 10Y G-Sec Fund -
131297 INF740K012I0 - DSP BlackRock Constant Maturity 10Y G-Sec Fund -
131299 INF740K015I3 INF740K016I1 DSP BlackRock Constant Maturity 10Y G-Sec Fund -
131300 INF740K017I9 INF740K018I7 DSP BlackRock Constant Maturity 10Y G-Sec Fund -
119101 INF740K01NG1 INF740K01NI7 DSP BlackRock Government Securities Fund - Direct
119099 INF740K01NF3 - DSP BlackRock Government Securities Fund - Direct
119100 INF740K01NE6 INF740K01NH9 DSP BlackRock Government Securities Fund - Direct
100085 INF740K01607 INF740K01AD5 DSP BlackRock Government Securities Fund - Regula
100084 INF740K01615 - DSP BlackRock Government Securities Fund - Regul
100086 INF740K01623 INF740K01AE3 DSP BlackRock Government Securities Fund - Regula

Edelweiss Mutual Fund

140298 INF843K01GS2 - Edelweiss Government Securities Fund - Direct Plan


140310 INF843K01HL5 INF843K01HK7 Edelweiss Government Securities Fund - Regular Pla
140301 INF843K01HE0 INF843K01HF7 Edelweiss Government Securities Fund - Regular Pla
140297 INF843K01HC4 - Edelweiss Government Securities Fund - Regular Pl
140307 INF843K01HJ9 INF843K01HI1 Edelweiss Government Securities Fund - Regular Pla
140303 INF843K01HG5 - Edelweiss Government Securities Fund - Regular Pl

Escorts Mutual Fund

101071 INF966L01184 INF966L01192 Escorts Gilt Plan-DIVIDEND OPTION


120820 INF966L01564 INF966L01572 Escorts Gilt Plan-DIVIDEND OPTION-Direct Plan
101072 INF966L01200 - Escorts Gilt Plan-GROWTH OPTION
120821 INF966L01580 - Escorts Gilt Plan-GROWTH OPTION-Direct Plan

Franklin Templeton Mutual Fund

118502 INF090I01HJ1 - Franklin India GOVERNMENT SECURITIES FUND - Co


118501 INF090I01HH5 INF090I01HI3 Franklin India GOVERNMENT SECURITIES FUND - Com
119295 INF090I01KG1 - Franklin India GOVERNMENT SECURITIES FUND - Lo
118498 INF090I01HS2 - Franklin India GOVERNMENT SECURITIES FUND - Lo
118497 INF090I01HQ6 INF090I01HR4 Franklin India GOVERNMENT SECURITIES FUND - Lon
118504 INF090I01HP8 - Franklin India GOVERNMENT SECURITIES FUND PF
100486 INF090I01CP9 INF090I01CQ7 Franklin India Govt.Sec. Fund-Composite Plan - Div
100485 INF090I01CR5 - Franklin India Govt.Sec. Fund-Composite Plan - Gro
100495 INF090I01CO2 - Franklin India Govt.Sec. Fund-Long Term Plan - Bo
100494 INF090I01CS3 INF090I01CT1 Franklin India Govt.Sec. Fund-Long Term Plan - Div
100493 INF090I01CU9 - Franklin India Govt.Sec. Fund-Long Term Plan - Gro
100491 INF090I01CW5 INF090I01CX3 Franklin India Govt.Sec. Fund-PF Plan - Dividend
100490 INF090I01CY1 - Franklin India Govt.Sec. Fund-PF Plan - Growth

HDFC Mutual Fund

119115 INF179K01VR2 INF179K01VT8 HDFC Gilt Fund Long Term Plan -Direct Plan - Divid
119116 INF179K01VS0 - HDFC Gilt Fund Long Term Plan -Direct Plan - Grow
101084 INF179K01772 INF179K01764 HDFC Gilt Fund-Long Term-Dividend
101083 INF179K01756 - HDFC Gilt Fund-Long Term-Growth
119113 INF179K01VU6 INF179K01VW2 HDFC Gilt Fund Short Term Plan -Direct Plan - Divi
119114 INF179K01VV4 - HDFC Gilt Fund Short Term Plan -Direct Plan - Grow
101081 INF179K01780 INF179K01798 HDFC Gilt Fund-Short Term-Dividend
101082 INF179K01806 - HDFC Gilt Fund-Short Term-Growth

ICICI Prudential Mutual Fund

131059 INF109KA1N87 INF109KA1O29 ICICI Prudential Constant Maturity Gilt Fund - Annua
131056 INF109KA1O78 INF109KA1P10 ICICI Prudential Constant Maturity Gilt Fund - Direct
131061 INF109KA1O37 - ICICI Prudential Constant Maturity Gilt Fund - Direct
131055 INF109KA1O60 INF109KA1P02 ICICI Prudential Constant Maturity Gilt Fund - Direct
131053 INF109KA1O45 INF109KA1O86 ICICI Prudential Constant Maturity Gilt Fund - Direct
131054 INF109KA1O52 INF109KA1O94 ICICI Prudential Constant Maturity Gilt Fund - Direct
131051 INF109KA1N46 - ICICI Prudential Constant Maturity Gilt Fund - Growt
131058 INF109KA1N79 INF109KA1O11 ICICI Prudential Constant Maturity Gilt Fund - Half Y
131062 INF109KA1N53 INF109KA1N95 ICICI Prudential Constant Maturity Gilt Fund - Month
131057 INF109KA1N61 INF109KA1O03 ICICI Prudential Constant Maturity Gilt Fund - quarte
120589 INF109K016C9 INF109K017C7 ICICI Prudential Long Term Gilt Fund - Direct Plan -
120590 INF109K018C5 - ICICI Prudential Long Term Gilt Fund - Direct Plan -
100368 INF109K01JQ6 INF109K01JP8 ICICI Prudential Long Term Gilt Fund - Dividend
100369 INF109K01JR4 - ICICI Prudential Long Term Gilt Fund - Growth
130903 INF109KA1H10 - ICICI Prudential Long Term Glit Fund - Bonus
130955 INF109KA1H02 - ICICI Prudential Long Term Glit Fund - Direct Plan
120607 INF109K012D6 INF109K013D4 ICICI Prudential Short Term Gilt Fund - Direct Plan -
120608 INF109K014D2 - ICICI Prudential Short Term Gilt Fund - Direct Plan -
120609 INF109K015D9 INF109K016D7 ICICI Prudential Short Term Gilt Fund - Direct Plan -
100370 INF109K01JW4 INF109K01JV6 ICICI Prudential Short Term Gilt Fund - Dividend
100371 INF109K01JX2 - ICICI Prudential Short Term Gilt Fund - Growth
100372 INF109K01JZ7 INF109K01JY0 ICICI Prudential Short Term Gilt Fund - Half Yearly
130902 INF109KA1I68 - ICICI Prudential Short Term Glit Fund - Bonus
130956 INF109KA1I50 - ICICI Prudential Short Term Glit Fund - Direct Plan
120606 INF109K019C3 INF109K010D0 ICICI Prudential Gilt Fund Investment Plan PF Option
120605 INF109K011D8 - ICICI Prudential Gilt Fund Investment Plan PF Option
102060 INF109K01JS2 - ICICI Prudential Gilt Fund Investment Plan PF Optio
118019 INF109K01I15 INF109K01I07 ICICI Prudential Gilt Fund Investment Plan PF Option
130901 INF109KA1C31 - ICICI Prudential Gilt Investment PF Option - Bonus
130954 INF109KA1C23 - ICICI Prudential Gilt Investment PF Option - Direct
120612 INF109K017D5 INF109K018D3 ICICI Prudential Gilt Fund Treasury Plan PF Option -
120610 INF109K019D1 INF109K010E8 ICICI Prudential Gilt Fund Treasury Plan PF Option -
120611 INF109K011E6 - ICICI Prudential Gilt Fund Treasury Plan PF Option -
102248 INF109K01KA8 - ICICI Prudential Gilt Fund Treasury Plan PF Option
118023 INF109K01I56 INF109K01I31 ICICI Prudential Gilt Fund Treasury Plan PF Option -
118022 INF109K01I49 INF109K01I23 ICICI Prudential Gilt Fund Treasury Plan PF Option -
130905 INF109KA1C56 - ICICI Prudential Gilt Treasury PF Option - Bonus

IDBI Mutual Fund

118034 INF397L01AA8 INF397L01AB6 IDBI Gilt Fund Annual Dividend


118447 INF397L01BZ3 INF397L01CA4 IDBI Gilt Fund Annual Dividend Direct
118030 INF397L01AD2 - IDBI Gilt Fund Growth
118341 INF397L01CC0 - IDBI Gilt Fund Growth Direct
118031 INF397L01AE0 INF397L01AF7 IDBI Gilt Fund Quarterly Dividend
118446 INF397L01CD8 INF397L01CE6 IDBI Gilt Fund Quarterly Dividend Direct

IDFC Mutual Fund

108557 INF194K01EH8 INF194K01EG0 IDFC Government Securities Fund - IP - Regular Plan


108559 INF194K01EE5 INF194K01ED7 IDFC Government Securities Fund - IP - Regular Pla
108558 INF194K01EB1 INF194K01EA3 IDFC Government Securities Fund - IP - Regular Plan
108752 INF194K01DP3 - IDFC GSF - Investment Plan - Growth
108754 INF194K01DR9 INF194K01DQ1 IDFC GSF - Investment Plan - Half Yearly Dividend
108643 INF194K01DX7 INF194K01DW9 IDFC GSF - Investment Plan - Quarterly Dividend
108753 INF194K01FA0 - IDFC GSF - Short Term-Regular Plan- Growth
118764 INF194K01O88 INF194K01O70 IDFC Government Securities Fund - Provident Fund
118766 INF194K01O62 - IDFC Government Securities Fund - Provident Fund
118765 INF194K01P12 INF194K01P04 IDFC Government Securities Fund - Provident Fund
131392 INF194KA1SF9 INF194KA1SG7 IDFC GSF -PF -Direct Plan_Periodic Dividend
131393 INF194KA1SC6 INF194KA1SD4 IDFC GSF -PF -Regular Plan_Periodic Dividend
108659 INF194K01ET3 - IDFC GSF-Provident Fund-Inst Plan B-Growth
108660 INF194K01EY3 INF194K01EX5 IDFC GSF-Provident Fund-Inst Plan B-Quarterly Div
108663 INF194K01EO4 INF194K01EN6 IDFC GSF-Provident Fund-Regular Plan-Annual Div
108661 INF194K01EM8 - IDFC GSF-Provident Fund-Regular Plan-Growth
108662 INF194K01ER7 INF194K01EQ9 IDFC GSF-Provident Fund-Regular Plan-Quarterly D
108646 INF194K01FF9 INF194K01FE2 IDFC GSF - Short Term -Regular Plan- Quarterly Div
108645 INF194K01DU3 INF194K01DT5 IDFC GSF - Investment Plan - Annual Dividend
118387 INF194K01P38 - IDFC Government Securities Fund - Short Term -Dir
118390 INF194K01P53 INF194K01P46 IDFC Government Securities Fund - Short Term -Dire
118388 INF194K01P87 INF194K01P79 IDFC Government Securities Fund - Short Term -Dire
118389 - INF194K01Q03 IDFC Government Securities Fund - Short Term -Dir
108644 INF194K01FC6 INF194K01FB8 IDFC Government Securities Fund - Short Term -Reg
131390 INF194KA1SL7 INF194KA1SM5 IDFC Government Securities Fund -Short Term -Dire
131391 INF194KA1SI3 INF194KA1SJ1 IDFC Government Securities Fund -Short Term -Regu
111339 INF194K01FK9 - IDFC GSF - Short Term -Plan B Growth
111341 INF194K01FP8 INF194K01FO1 IDFC GSF - Short Term -Plan B Quaterly Dividend
111342 INF194K01FM5 INF194K01FL7 IDFC GSF - Short Term -Plan B Weekly Dividend
111343 INF194K01FI3 INF194K01FH5 IDFC GSF - Short Term -Regular Plan- Weekly Divi
118467 INF194K01Q78 INF194K01Q60 IDFC Government Securities Fund- Investment Plan
118463 INF194K01R36 INF194K01R28 IDFC Government Securities Fund- Investment Plan
118464 INF194K01Q29 - IDFC Government Securities Fund- Investment Pla
118465 INF194K01Q45 INF194K01Q37 IDFC Government Securities Fund- Investment Plan
118466 INF194K01R02 INF194K01Q94 IDFC Government Securities Fund- Investment Plan
111527 INF194K01EK2 INF194K01EJ4 IDFC GSF - Investment Plan -Regular Plan- DIVID
111525 INF194K01DZ2 - IDFC GSF - Investment Plan -Regular Plan-GROWT
131394 INF194KA1RZ9 INF194KA1SA0 IDFC GSF -IP -Direct Plan_Periodic Dividend
131395 INF194KA1RW6 INF194KA1RX4 IDFC GSF -IP -Regular Plan_Periodic Dividend

Indiabulls Mutual Fund

118427 INF666M01295 - Indiabulls Gilt Fund - Direct Plan - Growth Option


118817 INF666M01329 INF666M01337 Indiabulls Gilt Fund - Direct Plan - Fortnightly Divid
118818 INF666M01345 INF666M01352 Indiabulls Gilt Fund - Direct Plan - Monthly Dividend
118816 INF666M01303 INF666M01311 Indiabulls Gilt Fund - Direct Plan - Weekly Dividend
118822 INF666M01402 INF666M01410 Indiabulls Gilt Fund - Indirect Plan - Fortnightly Divi
118820 INF666M01378 - Indiabulls Gilt Fund - Indirect Plan - Growth Option
118823 INF666M01428 INF666M01436 Indiabulls Gilt Fund - Indirect Plan - Monthly Dividen
118821 INF666M01386 INF666M01394 Indiabulls Gilt Fund - Indirect Plan - Weekly Dividen

Invesco Mutual Fund

107476 INF205K01SJ8 INF205K01SK6 Invesco India GILT Fund - Annual Dividend


120520 INF205K01SN0 - Invesco India GILT Fund - Direct Plan - Growth
120519 INF205K01SL4 INF205K01SM2 Invesco India GILT Fund - Direct Plan - Annual Divi
120521 - INF205K01SO8 Invesco India GILT Fund - Direct Plan - Monthly Div
120522 INF205K01SP5 INF205K01SQ3 Invesco India GILT Fund - Direct Plan - Quarterly Di
107477 INF205K01SR1 - Invesco India GILT Fund - Growth
107471 - INF205K01SS9 Invesco India GILT Fund - Monthly Dividend
107472 INF205K01ST7 INF205K01SU5 Invesco India GILT Fund - Quarterly Dividend

JM Financial Mutual Fund

120421 INF192K01CR5 - JM G-Sec Fund - (Direct) - Growth Option


120420 INF192K01CP9 INF192K01CQ7 JM G-Sec Fund - (Direct) - Quarterly Dividend Optio
134662 INF192K01KI7 INF192K01KJ5 JM G-Sec Fund - (Direct) Annual Dividend Option
120419 INF192K01CT1 - JM G-Sec Fund - (Direct) Bonus Option - Principal Un
134661 INF192K01KE6 INF192K01KF3 JM G-Sec Fund - (Direct) Half Yearly Dividend Optio
134664 INF192K01JY6 INF192K01KB2 JM G-Sec Fund - (Direct) Monthly Dividend Option
134659 INF192K01KG1 INF192K01KH9 JM G-Sec Fund - Annual Dividend Option
100253 INF192K01817 - JM G-Sec Fund - Bonus Option - Principal Units
100250 INF192K01809 - JM G-Sec Fund - Growth Option
134663 INF192K01KC0 INF192K01KD8 JM G-Sec Fund - Half Yearly Dividend Option
134660 INF192K01JW0 INF192K01JX8 JM G-Sec Fund - Monthly Dividend Option
100249 INF192K01783 INF192K01791 JM G-Sec Fund - Quarterly Dividend Option

Kotak Mahindra Mutual Fund

100280 INF174K01FM7 - Kotak Gilt-Investment Provident Fund and Trust-Div


100281 INF174K01FL9 - Kotak Gilt-Investment Provident Fund and Trust-Gr
119757 INF174K01KM7 - Kotak Gilt-Investment Provident Fund and Trust-Gro
100264 INF174K01FJ3 INF174K01FK1 Kotak Gilt-Investment Regular-Dividend
119758 INF174K01KG9 - Kotak Gilt-Investment Regular-Dividend - Direct
100265 INF174K01FI5 - Kotak Gilt-Investment Regular-Growth
119759 INF174K01KE4 - Kotak Gilt-Investment Regular-Growth - Direct

L&T Mutual Fund

119425 INF917K01FI7 - L&T Gilt Fund - Direct Plan - Growth


119426 INF917K01FK3 INF917K01FJ5 L&T Gilt Fund - Direct Plan - Quarterly Dividend
112429 INF917K01BP1 - L&T Gilt Fund - Regular Plan - Growth
112428 INF917K01BN6 INF917K01BO4 L&T Gilt Fund - Regular Plan - Quarterly Dividend

LIC Mutual Fund

120283 INF767K01EY6 INF767K01FA3 LIC MF Govt. Securities Fund-Direct Plan-Dividend


120282 INF767K01EZ3 - LIC MF Govt. Securities Fund-Direct Plan-Growth
100318 INF767K01717 INF767K01725 LIC MF Govt. Securities Fund-PF Plan-Dividend
100319 INF767K01733 - LIC MF Govt. Securities Fund-PF Plan-Growth
100316 INF767K01683 INF767K01691 LIC MF Govt. Securities Fund-Regular Plan-Dividen
100317 INF767K01709 - LIC MF Govt. Securities Fund-Regular Plan-Growth

Reliance Mutual Fund

118674 - INF204K01E62 Reliance Gilt Securities Fund - Direct Plan - P F Op


118669 INF204K01E70 - Reliance Gilt Securities Fund - Direct Plan - P F Opt
118673 INF204K01E88 - Reliance Gilt Securities Fund - Direct Plan - P F Opt
118672 INF204K01XP8 - Reliance Gilt Securities Fund - Direct Plan Growth P
118670 INF204K01XQ6 INF204K01XR4 Reliance Gilt Securities Fund - Direct Plan- Monthly
109717 INF204K01BX8 - Reliance Gilt Securities Fund - Institutional Plan-Gr
109720 INF204K01BU4 - Reliance Gilt Securities Fund -Growth Plan - Growth
109723 INF204K01BV2 INF204K01BW0 Reliance Gilt Securities Fund -Monthly Dividend Plan
109716 INF204K01CA4 - Reliance Gilt Securities Fund -P F Option-Automatic
109721 INF204K01CB2 - Reliance Gilt Securities Fund -P F Option-Defined Ma
133265 INF204KA1YV2 - Reliance Gilt Securities Fund- Direct Plan- Growth
133264 INF204KA1YU4 - Reliance Gilt Securities Fund- Growth Plan- Bonus O
109718 INF204K01CD8 - Reliance Gilt Securities Fund-Institutional Plan-P F
109724 INF204K01CC0 - Reliance Gilt Securities Fund-P F Option-Automatic

SBI Mutual Fund

119706 INF200K01SF7 INF200K01SG5 SBI MAGNUM GILT FUND - LONG TERM - DIRECT
100999 INF200K01990 INF200K01AA6 SBI MAGNUM GILT FUND - REGULAR PLAN - LON
119707 INF200K01SH3 - SBI MAGNUM GILT FUND - LONG TERM - DIREC
101001 INF200K01982 - SBI MAGNUM GILT FUND - LONG TERM - REGUL
120136 INF200K01SI1 INF200K01SJ9 SBI MAGNUM GILT FUND - SHORT TERM - DIVID
101003 INF200K01AO7 INF200K01AP4 SBI MAGNUM GILT FUND - SHORT TERM - REGUL
120137 INF200K01SK7 - SBI MAGNUM GILT FUND - SHORT TERM - DIRE
101002 INF200K01AN9 - SBI MAGNUM GILT FUND - SHORT TERM - REGU
101950 INF200K01AC2 INF200K01AD0 SBI MGLT- DIVIDEND - PF (Fixed Period - 1 Yr) Op
101951 INF200K01AF5 INF200K01AG3 SBI MGLT- DIVIDEND - PF (Fixed Period - 2 Yrs) O
101952 INF200K01AI9 INF200K01AJ7 SBI MGLT- DIVIDEND - PF (Fixed Period - 3 Yrs) O
101935 INF200K01AL3 INF200K01AM1 SBI MGLT- DIVIDEND - PF (Regular) Option
102061 INF200K01AB4 - SBI MGLT- GROWTH - PF (Fixed Period - 1 Yr) Opt
101933 INF200K01AE8 - SBI MGLT- GROWTH - PF (Fixed Period - 2 Yrs) Op
101934 INF200K01AH1 - SBI MGLT- GROWTH - PF (Fixed Period - 3 Yrs) Op
101932 INF200K01AK5 - SBI MGLT- GROWTH - PF (Regular) Option

Sundaram Mutual Fund

101092 INF903J01FA6 - SUNDARAM GILT FUND (Growth. OPTION)


119607 INF903J01RJ2 - Sundaram Gilt Fund - Direct Plan - Bonus Option
119603 INF903J01NY0 - Sundaram Gilt Fund - Direct Plan - Growth Option
101059 INF903J01FB4 INF903J01FC2 SUNDARAM GILT FUND (DIV. OPTION)
119608 INF903J01NW4 INF903J01NX2 Sundaram Gilt Fund - Direct Plan - Dividend Option

Tata Mutual Fund

101902 INF277K01DO9 INF277K01543 Tata Gilt High Fund - Dividend Opt


102016 INF277K01550 - Tata Gilt High Fund - Growth
119944 INF277K01OQ1 - Tata Gilt Mid Term Fund - Direct Plan - Growth
119945 INF277K01OR9 INF277K01OS7 Tata Gilt Mid Term Fund - Direct Plan - Periodic Div
119946 INF277K01OT5 INF277K01OU3 Tata Gilt Mid Term Fund - Direct Plan - Quarterly Di
112929 INF277K01LI4 INF277K01LJ2 Tata Gilt Mid Term Fund - Regular Plan -Periodic Di
112928 INF277K01LH6 - Tata Gilt Mid Term Fund -Regular Plan- Growth
112930 INF277K01LK0 INF277K01LL8 Tata Gilt Mid Term Fund -Regular Plan- Quarterly Di
101945 - - Tata Gilt Retirement Plan 28/2/25 Growth Option
102046 - - Tata Gilt Retirement Plan28/2/25 Dividend Option
101042 INF277K01519 - Tata Gilt Securities Fund -Regular Plan- Growth
101049 INF277K01DN1 INF277K01535 Tata Gilt Securities Fund Regular Plan - Dividend
102263 INF277K01527 - Tata Gilt Securities Fund RIP ( Bonus)
119954 INF277K01OV1 INF277K01OW9 Tata Gilt Securities Fund- Direct Plan - Dividend
119953 INF277K01OX7 - Tata Gilt Securities Fund- Direct Plan - Growth

UTI Mutual Fund

100812 INF789F01638 - UTI - G-Sec Fund-Growth


100811 INF789F01612 INF789F01620 UTI - G-Sec Fund-Income
124265 - INF789FB1T13 UTI - G-Sec Fund-STP Daily Div Option
100814 INF789F01604 - UTI - G-Sec Fund-STP Growth
120785 INF789FB1S71 - UTI - G-Sec Fund-STP Growth- Direct
100813 INF789F01588 INF789F01596 UTI - G-Sec Fund-STP Periodic Div Option
120786 INF789FB1T05 INF789FB1S97 UTI - G-Sec Fund-STP Periodic Div Option - Direct
102513 INF789F01PP4 INF789F01PQ2 UTI - GILT ADVANTAGE-LONG TERM PF-( PRES
102511 INF789F01PR0 INF789F01PS8 UTI - GILT ADVANTAGE-LONG TERM PF-DIVIDEN
102512 INF789F01PT6 - UTI - GILT ADVANTAGE-LONG TERM PF-GROWT
102514 INF789F01PU4 - UTI - GILT ADVANTAGE-LONG TERM PF-PRESC
102509 INF789F01646 INF789F01653 UTI - GILT ADVANTAGE-LONG TERM-DIVIDEND
120791 INF789F01TJ9 INF789F01TK7 UTI - GILT ADVANTAGE-LONG TERM-DIVIDEND- Di
102510 INF789F01661 - UTI - GILT ADVANTAGE-LONG TERM-GROWTH
120792 INF789F01TL5 - UTI - GILT ADVANTAGE-LONG TERM-GROWTH- Di

Open Ended Schemes(GOLD ETFs)

Aditya Birla Sun Life Mutual Fund


115127 INF209K01HT2 - Aditya Birla Sun Life Gold ETF

Axis Mutual Fund

113434 INF846K01347 - Axis Gold ETF

Canara Robeco Mutual Fund

117076 INF760K01BR1 - Canara Robeco Gold Exchange Traded Fund

HDFC Mutual Fund

113049 INF179K01CN1 - HDFC Gold Exchange Traded Fund

ICICI Prudential Mutual Fund

113076 INF109KB1WF4 - ICICI Prudential Gold iWIN ETF

IDBI Mutual Fund

115939 INF397L01554 - IDBI Gold Exchange Traded Fund

Invesco Mutual Fund

112368 INF205K01361 - Invesco India Gold Exchange Traded Fund

Kotak Mahindra Mutual Fund

106193 INF373I01049 - KOTAK GOLD ETF

Quantum Mutual Fund

107693 INF082J01010 - Quantum Gold Fund (an ETF)

Reliance Mutual Fund

140088 INF732E01102 - Reliance ETF Gold BeES

SBI Mutual Fund

111954 INF200K01099 - SBI-ETF Gold

UTI Mutual Fund

105463 INF78901059 - UTI GOLD Exchange Traded Fund

Open Ended Schemes(Growth)

Aditya Birla Sun Life Mutual Fund

119433 INF209K01VG0 - Aditya Birla Sun Life Advantage Fund - Dividend - Di


119436 INF209K01VH8 - Aditya Birla Sun Life Advantage Fund - Growth - Dire
100033 INF209K01165 - Aditya Birla Sun Life Advantage Fund - Regular Gro
100034 INF209K01157 - Aditya Birla Sun Life Advantage Fund -Regular Divi
125598 INF209K013W3 INF209K015W8 Aditya Birla Sun Life Banking and Financial Services
125597 INF209K014W1 - Aditya Birla Sun Life Banking and Financial Services
125596 INF209K010W9 INF209K012W5 Aditya Birla Sun Life Banking and Financial Services
125595 INF209K011W7 - Aditya Birla Sun Life Banking and Financial Service
119575 INF209K01P64 INF209K01VM8 Aditya Birla Sun Life Commodity Equities Fund - Glob
111348 INF209K01199 INF209K01CG0 Aditya Birla Sun Life Commodity Equities Fund - Glob
119576 INF209K01VL0 - Aditya Birla Sun Life Commodity Equities Fund - Glob
111349 INF209K01207 - Aditya Birla Sun Life Commodity Equities Fund - Glob
119506 INF209K01Q55 INF209K01WB9 Aditya Birla Sun Life Dividend Yield Plus - Dividend -
101737 INF209K01397 INF209K01CP1 Aditya Birla Sun Life Dividend Yield Plus - Dividend
119507 INF209K01WA1 - Aditya Birla Sun Life Dividend Yield Plus - Growth -
101738 INF209K01405 - Aditya Birla Sun Life Dividend Yield Plus - Growth -
119525 INF209K01P80 - Aditya Birla Sun Life Enhanced Arbitrage Fund - Divi
119526 INF209K01VP1 - Aditya Birla Sun Life Enhanced Arbitrage Fund - Grow
112087 INF209K01256 INF209K01CI6 Aditya BIRLA SUN LIFE ENHANCED ARBITRAGE
112088 INF209K01264 - Aditya BIRLA SUN LIFE ENHANCED ARBITRAGE
120565 INF209KA1LE0 INF209K01XY9 Aditya Birla Sun Life Equity Fund - Dividend - Direct
103165 INF209K01AQ3 INF209K01DT1 Aditya Birla Sun Life Equity Fund - Dividend - Regula
120564 INF209K01XX1 - Aditya Birla Sun Life Equity Fund - Growth - Direct P
103166 INF209K01AJ8 - Aditya Birla Sun Life Equity Fund - Growth - Regular
132996 INF209KA1TQ7 INF209KA1TR5 Aditya Birla Sun Life Equity Savings Fund - Direct Pl
132995 INF209KA1TP9 - Aditya Birla Sun Life Equity Savings Fund - Direct P
132997 INF209KA1TT1 INF209KA1TU9 Aditya Birla Sun Life Equity Savings Fund - Regular
132998 INF209KA1TS3 - Aditya Birla Sun Life Equity Savings Fund - Regular
119527 INF209K01YX9 INF209K01YW1 Aditya Birla Sun Life Frontline Equity Fund - Dividend
119528 INF209K01YY7 - Aditya Birla Sun Life Frontline Equity Fund - Growth
103173 INF209K01BO6 INF209K01EC5 Aditya Birla Sun Life Frontline Equity Fund-Dividend
103174 INF209K01BR9 - Aditya Birla Sun Life Frontline Equity Fund-Growth
119649 INF209K01VX5 - Aditya Birla Sun Life Index Fund - Dividend - Direct
101313 INF209K01LA4 INF209K01LC0 Aditya Birla Sun Life Index Fund - Dividend - Regula
119648 INF209K01VY3 - Aditya Birla Sun Life Index Fund - Growth - Direct Pl
101314 INF209K01LB2 - Aditya Birla Sun Life Index Fund - Growth - Regular
119590 INF209K01Q63 - Aditya Birla Sun Life India Gennext Fund - Dividend -
119591 INF209K01WC7 - Aditya Birla Sun Life India Gennext Fund - Growth -
103110 INF209K01439 INF209K01CR7 Aditya Birla Sun Life India Gennext Fund-Dividend O
103111 INF209K01447 - Aditya Birla Sun Life India Gennext Fund-Growth Op
119617 INF209K01P98 - Aditya Birla Sun Life India Opportunities Fund - Divid
100065 INF209K01280 INF209K01CK2 Aditya Birla Sun Life India Opportunities Fund - Divi
119618 INF209K01VR7 - Aditya Birla Sun Life India Opportunities Fund - Grow
100066 INF209K01298 - Aditya Birla Sun Life India Opportunities Fund - Gro
119537 INF209K01ZA4 - Aditya Birla Sun Life India Reforms Fund - Dividend -
119536 INF209K01YZ4 - Aditya Birla Sun Life India Reforms Fund - Growth -
112922 INF209K01EL6 INF209K01EM4 Aditya Birla Sun Life India Reforms Fund-DIVIDEND
112921 INF209K01EK8 - Aditya Birla Sun Life India Reforms Fund-GROWTH
119515 INF209K01WG8 - Aditya Birla Sun Life Infrastructure Fund - Dividend
119514 INF209K01WH6 - Aditya Birla Sun Life Infrastructure Fund - Growth - D
103475 INF209K01470 INF209K01CT3 Aditya Birla Sun Life Infrastructure Fund-Dividend
103476 INF209K01504 - Aditya Birla Sun Life Infrastructure Fund-Growth
111956 - INF209K01CU1 Aditya Birla Sun Life Infrastructure Fund-Plan B (Div
111955 - - Aditya Birla Sun Life Infrastructure Fund-Plan B (Gro
119516 INF209K01Q89 - Aditya Birla Sun Life International Equity Fund - Plan
106872 INF209K01512 INF209K01CV9 Aditya Birla Sun Life International Equity Fund - Pla
119517 INF209K01WS3 - Aditya Birla Sun Life International Equity Fund - Plan
106873 INF209K01520 - Aditya Birla Sun Life International Equity Fund - Pla
119519 INF209K01Q97 - Aditya Birla Sun Life International Equity Fund - Plan
106875 INF209K01538 INF209K01CW7 Aditya Birla Sun Life International Equity Fund - Pla
119518 INF209K01WU9 - Aditya Birla Sun Life International Equity Fund - Plan
106876 INF209K01546 - Aditya Birla Sun Life International Equity Fund - Pla
119521 INF209K01WJ2 - Aditya Birla Sun Life Long Term Advantage - Dividend
119520 INF209K01WK0 - Aditya Birla Sun Life Long Term Advantage - Growth
104339 INF209K01SD3 - Aditya Birla Sun Life Long Term Fund- Growth Optio
104338 INF209K01SE1 INF209K01SF8 Aditya Birla Sun Life Long Term Fund-Dividend Opti
133514 INF209KA1YL8 INF209KA1YM6 Aditya Birla Sun Life Manufacturing Equity Fund - Dir
133516 INF209KA1YK0 - Aditya Birla Sun Life Manufacturing Equity Fund - Di
133515 INF209KA1YI4 INF209KA1YJ2 Aditya Birla Sun Life Manufacturing Equity Fund - Re
133513 INF209KA1YH6 - Aditya Birla Sun Life Manufacturing Equity Fund - R
119619 INF209K01Q22 - Aditya Birla Sun Life Midcap Fund - Dividend - Direct
119620 INF209K01Q30 - Aditya Birla Sun Life Midcap Fund - Growth - Direct
101591 INF209K01355 INF209K01CN6 Aditya Birla Sun Life MIDCAP Fund-Dividend
101592 INF209K01363 - Aditya Birla Sun Life MIDCAP Fund-Growth
112115 - INF209K01CO4 Aditya Birla Sun Life MIDCAP Fund-Plan B (Dividend
112116 - - Aditya Birla Sun Life MIDCAP Fund-Plan B (Growth)
119647 INF209K01Q06 INF209K01VU1 Aditya Birla Sun Life MNC Fund - Dividend - Direct P
100063 INF209K01314 INF209K01CL0 Aditya Birla Sun Life MNC Fund - Dividend - Regular
119646 INF209K01VT3 - Aditya Birla Sun Life MNC Fund - Growth - Direct Pl
100064 INF209K01322 - Aditya Birla Sun Life MNC Fund - Growth - Regular
103167 INF209K01132 INF209K01CD7 Aditya Birla Sun Life New Millenium Fund - Dividend
103168 INF209K01140 - Aditya Birla Sun Life New Millenium Fund - Growth -
120538 INF209K01P49 - Aditya Birla Sun Life New Millennium Fund - Dividend
120539 INF209K01VF2 - Aditya Birla Sun Life New Millennium Fund - Growth -
119658 INF209K01WP9 - Aditya Birla Sun Life Pure Value Fund - Dividend - Di
108166 INF209K01LE6 INF209K01LG1 Aditya Birla Sun Life Pure Value Fund - Dividend Op
119659 INF209K01WQ7 - Aditya Birla Sun Life Pure Value Fund - Growth - Dir
108167 INF209K01LF3 - Aditya Birla Sun Life Pure Value Fund - Growth Opti
105805 INF209K01EO0 INF209K01EP7 Aditya Birla Sun Life Small & Midcap Fund - DIVID
105804 INF209K01EN2 - Aditya Birla Sun Life Small & Midcap Fund - GROW
119557 INF209K01WM6 - Aditya Birla Sun Life Small And Midcap Fund - Divide
119556 INF209K01WN4 - Aditya Birla Sun Life Small And Midcap Fund - Growt
107505 INF209K01553 INF209K01CX5 Aditya Birla Sun Life Special Situations Fund - Divid
119547 INF209K01R05 INF209K01WX3 Aditya Birla Sun Life Special Situations Fund - Divide
107504 INF209K01561 - Aditya Birla Sun Life Special Situations Fund - Grow
119546 INF209K01WW5 - Aditya Birla Sun Life Special Situations Fund - Growt
119563 INF209K01Q71 INF209K01WF0 Aditya Birla Sun Life Top 100 Fund - Dividend - Direc
119564 INF209K01WE3 - Aditya Birla Sun Life Top 100 Fund - Growth - Direct
103308 INF209K01454 INF209K01CS5 Aditya Birla Sun Life Top 100 Fund -Dividend Option
103309 INF209K01462 - Aditya Birla Sun Life Top 100 Fund -Growth Option

Axis Mutual Fund


141643 INF846K01A37 INF846K01A45 Axis Dynamic Equity Fund - Direct Plan - Dividend
141642 INF846K01A29 - Axis Dynamic Equity Fund - Direct Plan - Growth
141645 INF846K01A60 INF846K01A78 Axis Dynamic Equity Fund - Regular Plan - Dividend
141644 INF846K01A52 - Axis Dynamic Equity Fund - Regular Plan - Growth
130774 INF846K01QA2 INF846K01QB0 Axis Enhanced Arbitrage Fund - Direct Plan - Divide
130773 INF846K01PZ1 - Axis Enhanced Arbitrage Fund - Direct Plan - Growt
130776 INF846K01QD6 INF846K01QE4 Axis Enhanced Arbitrage Fund - Regular Plan - Divi
130771 INF846K01QC8 - Axis Enhanced Arbitrage Fund - Regular Plan - Grow
120466 INF846K01DN3 INF846K01DO1 Axis Equity Fund - Direct Plan - Dividend
120465 INF846K01DP8 - Axis Equity Fund - Direct Plan - Growth
112278 INF846K01172 INF846K01180 Axis Equity Fund - Dividend
112277 INF846K01164 - Axis Equity Fund - Growth
135120 INF846K01VJ3 - Axis Equity Saver Fund - Direct Plan - Growth
135121 INF846K01VK1 INF846K01VL9 Axis Equity Saver Fund - Direct Plan - Monthly Divid
135124 INF846K01VM7 INF846K01VN5 Axis Equity Saver Fund - Direct Plan - Quarterly Div
139520 INF846K01XP6 INF846K01XQ4 Axis Equity Saver Fund - Direct Plan - Regular Divid
135122 INF846K01VO3 - Axis Equity Saver Fund - Regular Plan - Growth
135123 INF846K01VP0 INF846K01VQ8 Axis Equity Saver Fund - Regular Plan - Monthly Div
135125 INF846K01VR6 INF846K01VS4 Axis Equity Saver Fund - Regular Plan - Quarterly D
139521 INF846K01XR2 INF846K01XS0 Axis Equity Saver Fund - Regular Plan - Regular Div
120467 INF846K01CO3 INF846K01CP0 Axis Focused 25 Fund - Direct Plan - Dividend Optio
120468 INF846K01CQ8 - Axis Focused 25 Fund - Direct Plan - Growth Option
117559 INF846K01CI5 INF846K01CJ3 Axis Focused 25 Fund - Dividend Option
117560 INF846K01CH7 - Axis Focused 25 Fund - Growth Option
120504 INF846K01EF7 INF846K01EG5 Axis Midcap Fund - Direct Plan - Dividend
120505 INF846K01EH3 - Axis Midcap Fund - Direct Plan - Growth
114565 INF846K01867 INF846K01875 Axis Midcap Fund - Dividend
114564 INF846K01859 - Axis Midcap Fund - Growth
141926 INF846K01B02 INF846K01B10 Axis Multicap Fund - Direct Plan - Dividend
141925 INF846K01B28 - Axis Multicap Fund - Direct Plan - Growth
141928 INF846K01B36 INF846K01B44 Axis Multicap Fund - Regular Plan - Dividend
141927 INF846K01B51 - Axis Multicap Fund - Regular Plan - Growth

Baroda Pioneer Mutual Fund

125114 INF955L01DD1 - Baroda Pioneer Banking And Financial Services Fund


117547 INF955L01831 - Baroda Pioneer Banking and Financial Services Fund
117549 INF955L01856 - Baroda Pioneer Banking and Financial Services Fund
125115 INF955L01DE9 - Baroda Pioneer Banking And Financial Services Fund
119334 INF955L01955 - Baroda Pioneer Banking and Financial Services Fund
119333 INF955L01971 - Baroda Pioneer Banking and Financial Services Fund
102021 INF955L01658 INF955L01666 BARODA PIONEER GROWTH FUND - Plan A - Divid
102020 INF955L01674 - BARODA PIONEER GROWTH FUND - Plan A - Grow
119353 INF955L01AE5 - BARODA PIONEER GROWTH FUND - Plan B (Direct)
119354 INF955L01AG0 - BARODA PIONEER GROWTH FUND - Plan B (Direct)
112944 INF955L01617 INF955L01625 Baroda Pioneer Large cap Fund - Plan A - Dividend
112943 INF955L01633 - Baroda Pioneer Large cap Fund - Plan A - Growth O
119366 INF955L01AH8 - Baroda Pioneer Large cap Fund - Plan B (Direct) - D
119367 INF955L01AJ4 - Baroda Pioneer Large cap Fund - Plan B (Direct) - G
113328 INF955L01583 INF955L01591 Baroda Pioneer Mid-cap Fund- Plan A - Dividend Op
113327 INF955L01609 - Baroda Pioneer Mid-cap Fund- Plan A - Growth Opti
119392 INF955L01AV9 - Baroda Pioneer Mid-cap Fund- Plan B (Direct) - Gro
119313 INF955L01AT3 - Baroda Pioneer Mid-cap Fund-Plan B (Direct)-Divide

BNP Paribas Mutual Fund

113545 INF251K01910 INF251K01902 BNP PARIBAS Equity Fund-Dividend Option


113544 INF251K01894 - BNP PARIBAS Equity Fund-Growth Option
119894 INF251K01HL1 INF251K01HM9 BNP Paribas Equity Fund - Direct Plan - Dividend Op
119893 INF251K01HN7 - BNP Paribas Equity Fund - Direct Plan - Growth Opt
119987 INF251K01HI7 INF251K01HJ5 BNP Paribas Dividend Yield Fund - Direct Plan - Div
119988 INF251K01HK3 - BNP Paribas Dividend Yield Fund - Direct Plan - Gr
113461 INF251K01977 INF251K01969 BNP PARIBAS Dividend Yield Fund-Dividend Option
113460 INF251K01951 - BNP PARIBAS Dividend Yield Fund-Growth Option
140387 INF251K01OV6 INF251K01OU8 BNP PARIBAS ENHANCED ARBITRAGE FUND -DI
141208 INF251K01PF6 INF251K01PE9 BNP PARIBAS ENHANCED ARBITRAGE FUND DIR
141209 INF251K01PJ8 INF251K01PI0 BNP PARIBAS ENHANCED ARBITRAGE FUND DIR
141207 INF251K01PD1 INF251K01PC3 BNP PARIBAS ENHANCED ARBITRAGE FUND RE
141210 INF251K01PH2 INF251K01PG4 BNP PARIBAS ENHANCED ARBITRAGE FUND RE
140385 INF251K01ON3 - BNP PARIBAS ENHANCED ARBITRAGE FUND- R
140386 INF251K01OT0 - BNP PARIBAS ENHANCED ARBITRAGE FUND-DI
140388 INF251K01OP8 INF251K01OO1 BNP PARIBAS ENHANCED ARBITRAGE FUND-RE
141814 INF251K01PO8 INF251K01PP5 BNP Paribas Focused 25 Equity Fund - Direct Plan -
141813 INF251K01PN0 - BNP Paribas Focused 25 Equity Fund - Direct Plan -
141811 INF251K01PL4 INF251K01PM2 BNP Paribas Focused 25 Equity Fund - Regular Plan
141812 INF251K01PK6 - BNP Paribas Focused 25 Equity Fund - Regular Pla
120001 INF251K01HO5 INF251K01HP2 BNP Paribas Mid Cap Fund - Direct Plan - Dividend
120002 INF251K01HQ0 - BNP Paribas Mid Cap Fund - Direct Plan - Growth O
113567 INF251K01AX1 INF251K01AY9 BNP Paribas Mid Cap Fund-Dividend Option
113566 INF251K01AW3 - BNP Paribas Mid Cap Fund-Growth Option

BOI AXA Mutual Fund

119349 INF761K01678 INF761K01660 BOI AXA Equity Fund Direct Plan- Quarterly Divide
119300 INF761K01629 - BOI AXA Equity Fund Direct Plan- Bonus
119350 INF761K01652 - BOI AXA Equity Fund Direct Plan-Growth
119346 INF761K01645 INF761K01637 BOI AXA Equity Fund Direct Plan-Regular Dividend
110599 INF761K01041 - BOI AXA Equity Fund Eco Plan- Growth
110601 INF761K01017 - BOI AXA Equity Fund Eco Plan-Bonus
110604 INF761K01058 INF761K01066 BOI AXA Equity Fund Eco Plan-Quarterly Dividend
110608 INF761K01025 INF761K01033 BOI AXA Equity Fund Eco Plan-Regular Dividend
110603 INF761K01108 - BOI AXA Equity Fund Regular Plan- Growth
110598 INF761K01116 INF761K01124 BOI AXA Equity Fund Regular Plan- Quarterly Divid
110607 INF761K01082 INF761K01090 BOI AXA Equity Fund Regular Plan- Regular Divide
110606 INF761K01074 - BOI AXA Equity Fund Regular Plan-Bonus
119364 INF761K01702 - BOI AXA Manufacturing & Infrastructure Fund-Direct
119365 INF761K01728 INF761K01710 BOI AXA Manufacturing & Infrastructure Fund-Direct
119363 INF761K01694 INF761K01686 BOI AXA Manufacturing & Infrastructure Fund-Direct
112359 INF761K01199 - BOI AXA Manufacturing & Infrastructure Fund-Growt
112360 INF761K01231 INF761K01223 BOI AXA Manufacturing & Infrastructure Fund-Quarte
112361 INF761K01215 INF761K01207 BOI AXA Manufacturing & Infrastructure Fund-Regul
139530 INF761K01DN4 INF761K01DO2 BOI AXA MID CAP EQUITY & DEBT FUND - DIREC
139527 INF761K01DM6 - BOI AXA MID CAP EQUITY & DEBT FUND - DIR
139528 INF761K01DQ7 INF761K01DR5 BOI AXA MID CAP EQUITY & DEBT FUND - REGUL
139529 INF761K01DP9 - BOI AXA MID CAP EQUITY & DEBT FUND - REGU

Canara Robeco Mutual Fund

102920 INF760K01167 - Canara Robeco Emerging Equities - Regular Plan


118277 INF760K01EG8 INF760K01EH6 Canara Robeco Emerging Equities-Direct Plan-Divid
118278 INF760K01EI4 - Canara Robeco Emerging Equities-Direct Plan-Grow
102921 INF760K01175 INF760K01183 Canara Robeco Emerging Equities-Regular Plan -
101923 INF760K01027 INF760K01035 Canara Robeco Equity Diversified - Regular Plan - D
101922 INF760K01019 - Canara Robeco Equity Diversified - Regular Plan -
118275 INF760K01EF0 - Canara Robeco Equity Diversified-Direct Plan -Grow
118276 INF760K01ED5 INF760K01EE3 Canara Robeco Equity Diversified-Direct Plan-Divid
118274 INF760K01DS5 INF760K01DT3 Canara Robeco F.O.R.C.E Fund - Direct Plan - Divi
118273 INF760K01DU1 - Canara Robeco F.O.R.C.E Fund - Direct Plan - Grow
112150 INF760K01217 - Canara Robeco F.O.R.C.E Fund - Institutional Plan
112153 INF760K01225 INF760K01233 Canara Robeco F.O.R.C.E Fund - Regular Plan - Div
112152 INF760K01241 - Canara Robeco F.O.R.C.E Fund - Regular Plan - Gr
103389 INF760K01258 INF760K01266 Canara Robeco Infrastructure - Regular Plan - DIV
103390 INF760K01274 - Canara Robeco Infrastructure - Regular Plan - GR
118268 INF760K01FM3 INF760K01FN1 Canara Robeco Infrastructure-Direct Plan - Dividend
118267 INF760K01FO9 - Canara Robeco Infrastructure-Direct Plan - Growth
118270 INF760K01FP6 INF760K01FQ4 Canara Robeco Large Cap+ Fund - Direct Plan - Div
118269 INF760K01FR2 - Canara Robeco Large Cap+ Fund - Direct Plan - Gr
113222 INF760K01AS1 INF760K01AT9 Canara Robeco Large Cap+ Fund - Regular Plan - D
113221 INF760K01AR3 - Canara Robeco Large Cap+ Fund - Regular Plan - G

DHFL Pramerica Mutual Fund

138880 INF223J012N9 - DHFL Pramerica Arbitrage Fund - Direct Plan - Annu


138875 INF223J013N7 - DHFL Pramerica Arbitrage Fund - Direct Plan - Grow
138878 INF223J011N1 - DHFL Pramerica Arbitrage Fund - Direct Plan - Mont
138879 INF223J010N3 - DHFL Pramerica Arbitrage Fund - Direct Plan - Quart
138877 INF223J019M6 - DHFL Pramerica Arbitrage Fund - Direct Plan - Regu
138885 INF223J012M1 - DHFL Pramerica Arbitrage Fund - Regular Plan - An
138876 INF223J019N4 - DHFL Pramerica Arbitrage Fund - Regular Plan - Gr
138883 INF223J011M3 - DHFL Pramerica Arbitrage Fund - Regular Plan - Mon
138884 INF223J010M5 - DHFL Pramerica Arbitrage Fund - Regular Plan - Qua
138887 INF223J019L8 - DHFL Pramerica Arbitrage Fund - Regular Plan - Reg
138385 INF223J01903 - DHFL Pramerica Balanced Advantage Fund - BON
138387 INF663L01GY0 INF663L01GZ7 DHFL Pramerica Balanced Advantage Fund - Direct P
138386 INF663L01GX2 - DHFL Pramerica Balanced Advantage Fund - Direct
138381 INF663L01HA8 INF663L01HB6 DHFL Pramerica Balanced Advantage Fund - Divide
138382 INF663L01HC4 - DHFL Pramerica Balanced Advantage Fund - Growth
138384 INF223J01309 - DHFL Pramerica Balanced Advantage Fund Wealth P
138383 INF223J01325 - DHFL Pramerica Balanced Advantage Fund Wealth P
139820 INF663L01OA4 INF663L01OB2 DHFL Pramerica Balanced Advantage Fund-Direct Pl
139823 INF663L01OE6 INF663L01OF3 DHFL Pramerica Balanced Advantage Fund-Direct Pl
139821 INF663L01NY6 INF663L01NZ3 DHFL Pramerica Balanced Advantage Fund-Monthly
139822 INF663L01OC0 INF663L01OD8 DHFL Pramerica Balanced Advantage Fund-Quarterl
133837 INF663L01FG9 - DHFL Pramerica Diversified Equity Fund - Direct Pla
133839 INF663L01FF1 - DHFL Pramerica Diversified Equity Fund - Direct Pla
133838 INF663L01FK1 - DHFL Pramerica Diversified Equity Fund - Regular P
133836 INF663L01FJ3 - DHFL Pramerica Diversified Equity Fund - Regular P
138371 INF223J01FA9 - DHFL Pramerica Equity Income Fund - Annual Divid
138375 INF223J01QA6 - DHFL Pramerica Equity Income Fund - Direct Plan -
138376 INF223J01QD0 - DHFL Pramerica Equity Income Fund - Direct Plan -
138377 INF223J01QE8 - DHFL Pramerica Equity Income Fund - Direct Plan -
138378 INF223J01QG3 - DHFL Pramerica Equity Income Fund - Direct Plan -
138372 INF223J01FB7 - DHFL Pramerica Equity Income Fund - Growth Optio
138369 INF223J01FD3 - DHFL Pramerica Equity Income Fund - Monthly Divid
138370 INF223J01FF8 - DHFL Pramerica Equity Income Fund - Quarterly Di
138311 INF223J01895 - DHFL Pramerica Large Cap Fund - BONUS OPTION
138314 INF223J01MM0 - DHFL Pramerica Large Cap Fund - Direct Plan - Bo
138313 INF663L01GS2 - DHFL Pramerica Large Cap Fund - Direct Plan - Div
138312 INF663L01GR4 - DHFL Pramerica Large Cap Fund - Direct Plan - Gro
138307 INF663L01GV6 - DHFL Pramerica Large Cap Fund - Dividend
138308 INF663L01GW4 - DHFL Pramerica Large Cap Fund - Growth
138310 INF223J01267 - DHFL Pramerica Large Cap Fund Wealth Plan - Gro
138309 INF223J01242 - DHFL Pramerica Large Cap Fund Wealth Plan -Divid
125301 INF663L01DW1 - DHFL Pramerica Midcap Opportunities Fund - Direct
125307 INF663L01DV3 - DHFL Pramerica Midcap Opportunities Fund - Direct
125306 INF663L01EA5 - DHFL Pramerica Midcap Opportunities Fund - Regular
125305 INF663L01DZ4 - DHFL Pramerica Midcap Opportunities Fund - Regula

DSP BlackRock Mutual Fund

141878 INF740KA1CS5 INF740KA1CT3 DSP BlackRock Equal Nifty 50 Fund - Direct Plan - D
141877 INF740KA1CR7 - DSP BlackRock Equal Nifty 50 Fund - Direct Plan -
141876 INF740KA1CP1 INF740KA1CQ9 DSP BlackRock Equal Nifty 50 Fund - Regular Plan -
141875 INF740KA1CO4 - DSP BlackRock Equal Nifty 50 Fund - Regular Plan
119077 INF740K01PJ0 INF740K01PK8 DSP BlackRock Equity Fund - Direct Plan - Dividend
119076 INF740K01PI2 - DSP BlackRock Equity Fund - Direct Plan - Growth
100080 INF740K01011 INF740K01029 DSP BlackRock Equity Fund - Regular Plan - Divide
105875 INF740K01037 - DSP BlackRock Equity Fund - Regular Plan - Growth
136568 INF740KA1512 INF740KA1520 DSP BlackRock Equity Savings Fund - Direct Plan -
136567 INF740KA1504 - DSP BlackRock Equity Savings Fund - Direct Plan -
136569 INF740KA1538 INF740KA1546 DSP BlackRock Equity Savings Fund - Direct Plan -
136570 INF740KA1553 INF740KA1561 DSP BlackRock Equity Savings Fund - Direct Plan -
136566 INF740KA1488 INF740KA1496 DSP BlackRock Equity Savings Fund - Regular Plan -
136564 INF740KA1447 INF740KA1454 DSP BlackRock Equity Savings Fund - Regular Plan
136563 INF740KA1439 - DSP BlackRock Equity Savings Fund - Regular Plan
136565 INF740KA1462 INF740KA1470 DSP BlackRock Equity Savings Fund - Regular Plan
119095 INF740K01OC8 INF740K01OD6 DSP BlackRock Focus 25 Fund - Direct Plan - Divid
119096 INF740K01OB0 - DSP BlackRock Focus 25 Fund - Direct Plan - Growt
113032 INF740K01540 INF740K01AC7 DSP BlackRock Focus 25 Fund - Regular Plan - Div
112901 INF740K01532 - DSP BlackRock Focus 25 Fund - Regular Plan - Gro
119248 INF740K01PV5 INF740K01PW3 DSP BlackRock India T.I.G.E.R. Fund - Direct Plan -
119247 INF740K01PU7 - DSP BlackRock India T.I.G.E.R. Fund - Direct Plan -
102434 INF740K01151 - DSP BlackRock India T.I.G.E.R. Fund - Regular Plan
102435 INF740K01136 INF740K01144 DSP BlackRock India T.I.G.E.R. Fund - Regular Plan
119213 INF740K01QE9 INF740K01QF6 DSP BlackRock Micro Cap Fund - Direct Plan - Divi
119212 INF740K01QD1 - DSP BlackRock Micro Cap Fund - Direct Plan - Grow
113153 INF740K01805 INF740K01AM6 DSP BlackRock Micro Cap Fund - Regular - Dividen
105989 INF740K01797 - DSP BlackRock Micro Cap Fund - Regular - Growth
119029 INF740K01QB5 INF740K01QC3 DSP BlackRock Natural Resources and New Energy Fu
119028 INF740K01QA7 - DSP BlackRock Natural Resources and New Energy F
108202 INF740K01060 - DSP BlackRock Natural Resources And New Energy
108203 INF740K01045 INF740K01052 DSP BlackRock Natural Resources And New Energy F
119219 INF740K01PM4 INF740K01PN2 DSP BlackRock Opportunities Fund - Direct Plan - D
119218 INF740K01PL6 - DSP BlackRock Opportunities Fund - Direct Plan - G
103820 INF740K01078 INF740K01086 DSP BlackRock Opportunities Fund-Regular Plan - D
103819 INF740K01094 - DSP BlackRock Opportunities Fund-Regular Plan -
119070 INF740K01PY9 INF740K01PZ6 DSP BlackRock Small and Mid Cap Fund - Direct Pla
119071 INF740K01PX1 - DSP BlackRock Small and Mid Cap Fund - Direct Pla
104482 INF740K01102 INF740K01110 DSP BlackRock Small and Mid Cap Fund - Regular P
104481 INF740K01128 - DSP BlackRock Small and Mid Cap Fund - Regular P
119249 INF740K01PS1 INF740K01PT9 DSP BlackRock Top 100 Equity Fund - Direct Plan -
119250 INF740K01PR3 - DSP BlackRock Top 100 Equity Fund - Direct Plan -
101636 INF740K01227 INF740K01235 DSP BlackRock Top 100 Equity Fund - Regular Plan
101635 INF740K01243 - DSP BlackRock Top 100 Equity Fund - Regular Plan

Edelweiss Mutual Fund

141606 INF754K01HW1 INF754K01HX9 Edelweiss Arbitrage Fund - Direct Plan - Monthly Di


141605 INF754K01HT7 INF754K01HU5 Edelweiss Arbitrage Fund - Regular Plan - Monthly D
130209 INF754K01EB2 INF754K01EC0 Edelweiss Arbitrage Fund- Direct Plan- Dividend Opt
130206 INF754K01EA4 - Edelweiss Arbitrage Fund- Direct Plan- Growth Opti
130208 INF754K01EJ5 - Edelweiss Arbitrage Fund- Regular Plan -Bonus Opt
130207 INF754K01EG1 INF754K01EH9 Edelweiss Arbitrage Fund- Regular Plan- Dividend O
130205 INF754K01EF3 - Edelweiss Arbitrage Fund- Regular Plan- Growth Opt
141767 INF754K01IH0 INF754K01II8 Edelweiss Dynamic Advantage Fund - Direct Plan -
118614 INF754K01BP8 INF754K01BQ6 Edelweiss Dynamic Equity Advantage Fund - Direct P
112117 INF754K01285 - Edelweiss Dynamic Equity Advantage Fund - Regular
141766 INF754K01IK4 INF754K01IL2 Edelweiss Dynamic Equity Advantage Fund - Regular
112118 INF754K01251 INF754K01269 Edelweiss Dynamic Equity Advantage Fund - Regular
118615 INF754K01BS2 - Edelweiss Dynamic Equity Advantage Fund -Direct
140354 INF843K01KL9 INF843K01KM7 Edelweiss Economic Resurgence Fund - Direct Plan
140353 INF843K01KK1 - Edelweiss Economic Resurgence Fund - Direct Plan
140356 INF843K01KO3 INF843K01KP0 Edelweiss Economic Resurgence Fund - Regular Plan
140355 INF843K01KN5 - Edelweiss Economic Resurgence Fund - Regular Pla
140174 INF843K01AM8 INF843K01AN6 Edelweiss Equity Opportunities Fund - Direct Plan -
140175 INF843K01AL0 - Edelweiss Equity Opportunities Fund - Direct Plan -
140173 INF843K01054 INF843K01062 Edelweiss Equity Opportunities Fund - Regular Plan
140172 INF843K01047 - Edelweiss Equity Opportunities Fund - Regular Plan
140350 INF843K01KD6 - Edelweiss Equity Savings Advantage Fund - Direct P
140348 INF843K01KE4 INF843K01KF1 Edelweiss Equity Savings Advantage Fund - Direct P
140347 INF843K01KC8 - Edelweiss Equity Savings Advantage Fund - Direct P
141933 INF754K01IN8 INF754K01IO6 Edelweiss Equity Savings Advantage Fund - Direct P
140352 INF843K01KH7 - Edelweiss Equity Savings Advantage Fund - Regular
140349 INF843K01KI5 INF843K01KJ3 Edelweiss Equity Savings Advantage Fund - Regular
140351 INF843K01KG9 - Edelweiss Equity Savings Advantage Fund - Regular
141934 INF754K01IP3 INF754K01IQ1 Edelweiss Equity Savings Advantage Fund - Regular
118616 INF754K01BT0 INF754K01BU8 Edelweiss Large Cap Advantage Fund - Direct Plan-
118617 INF754K01BW4 - Edelweiss Large Cap Advantage Fund - Direct Plan-
111940 INF754K01046 - Edelweiss Large Cap Advantage Fund - Regular Plan
111936 INF754K01012 INF754K01020 Edelweiss Large Cap Advantage Fund - Regular Plan
111938 INF754K01053 INF754K01061 Edelweiss Large Cap Advantage Fund -Plan B - Divi
111935 INF754K01087 - Edelweiss Large Cap Advantage Fund -Plan B - Grow
111939 INF754K01095 INF754K01103 Edelweiss Large Cap Advantage Fund -Plan C - Divi
111937 INF754K01129 - Edelweiss Large Cap Advantage Fund -Plan C - Gro
140227 INF843K01AP1 INF843K01AQ9 Edelweiss Mid and Small Cap Fund - Direct Plan - D
140228 INF843K01AO4 - Edelweiss Mid and Small Cap Fund - Direct Plan - G
140226 INF843K01021 INF843K01039 Edelweiss Mid and Small Cap Fund - Regular Plan -
140225 INF843K01013 - Edelweiss Mid and Small Cap Fund - Regular Plan -
112108 INF754K01202 - Edelweiss Prudent Advantage Fund - Regular Plan -
112012 INF754K01160 - Edelweiss Prudent Advantage Fund- Plan B-Growth
112109 INF754K01178 INF754K01186 Edelweiss Prudent Advantage Fund- Regular Plan -
118625 INF754K01CB6 INF754K01CC4 Edelweiss Prudent Advantage Fund-Direct Plan-Divi
118624 INF754K01CE0 - Edelweiss Prudent Advantage Fund-Direct Plan-Gro
112013 INF754K01137 INF754K01145 Edelweiss Prudent Advantage Fund-Plan B- Dividen

Escorts Mutual Fund

100630 INF966L01218 INF966L01226 Escorts Growth Plan-DIVIDEND OPTION


120822 INF966L01598 INF966L01606 Escorts Growth Plan-DIVIDEND OPTION-Direct Pla
100631 INF966L01234 - Escorts Growth Plan-GROWTH OPTION
120823 INF966L01614 - Escorts Growth Plan-GROWTH OPTION-Direct Plan
104515 INF966L01424 - Escorts High Yield Equity Plan - Bonus Option
120824 INF966L01655 - Escorts High Yield Equity Plan - Bonus Option-Direct
104514 INF966L01325 INF966L01333 Escorts High Yield Equity Plan - Dividend Option
120825 INF966L01622 INF966L01630 Escorts High Yield Equity Plan - Dividend Option-Dir
104513 INF966L01341 - Escorts High Yield Equity Plan - Growth Option
120826 INF966L01648 - Escorts High Yield Equity Plan - Growth Option-Direc
106169 INF966L01507 INF966L01515 Escorts Infrastructure Fund - Dividend
120832 INF966L01705 INF966L01713 Escorts Infrastructure Fund - Dividend Option-Direct
106170 - INF966L01523 Escorts Infrastructure Fund - Growth Option
120833 - INF966L01721 Escorts Infrastructure Fund - Growth Option-Direct P
109274 INF966L01358 INF966L01366 Escorts Leading Sectors Fund - Dividend Option
120835 INF966L01838 INF966L01846 Escorts Leading Sectors Fund - Dividend Option-Dire
109275 INF966L01374 - Escorts Leading Sectors Fund - Growth Option
120834 INF966L01853 - Escorts Leading Sectors Fund - Growth Option-Direc
101066 INF966L01150 INF966L01168 Escorts Opportunities Fund-Dividend
120840 INF966L01861 INF966L01879 Escorts Opportunities Fund-Dividend Option-Direct P
101065 INF966L01176 - Escorts Opportunities Fund-Growth
120841 INF966L01887 - Escorts Opportunities Fund-Growth Option-Direct Pl
109831 INF966L01432 INF966L01440 Escorts Power & Energy Fund - Dividend Option
120842 INF966L01895 INF966L01903 Escorts Power & Energy Fund - Dividend Option-Dire
109830 INF966L01457 - Escorts Power & Energy Fund - Growth Option
120843 INF966L01911 - Escorts Power & Energy Fund - Growth Option-Direc

Essel Mutual Fund


115790 INF959L01080 - Essel Equity Fund - Growth Option
115788 INF959L01064 INF959L01072 Essel Equity Fund - Regular Plan- Normal Dividend
135658 INF959L01BT3 INF959L01BU1 Essel Equity Fund- Direct Plan- Half Yearly Dividend
135656 INF959L01BK2 INF959L01BO4 Essel Equity Fund- Direct Plan- Quarterly Dividend O
135659 INF959L01BV9 INF959L01BW7 Essel Equity Fund- Direct Plan- Yearly Dividend Opt
135657 INF959L01BZ0 INF959L01CA1 Essel Equity Fund- Regular Plan- Half Yearly Divide
135661 INF959L01BX5 INF959L01BY3 Essel Equity Fund- Regular Plan- Quarterly Dividend
135660 INF959L01CB9 INF959L01CC7 Essel Equity Fund- Regular Plan- Yearly Dividend Op
119149 INF959L01601 INF959L01619 Essel Equity Fund-Direct Plan- Normal Dividend Opt
119148 INF959L01593 - Essel Equity Fund-Direct Plan-Growth Option
135677 INF959L01CH6 - Essel Midcap Fund- Direct Plan- Growth Option
135679 INF959L01CI4 INF959L01CJ2 Essel Midcap Fund- Direct Plan- Normal Dividend Op
135678 INF959L01CK0 - Essel Midcap Fund- Regular Plan- Growth Option
135680 INF959L01CL8 INF959L01CM6 Essel Midcap Fund- Regular Plan- Normal Dividend

Franklin Templeton Mutual Fund

118558 INF090I01IX0 INF090I01IY8 Franklin Asian Equity Fund - Direct - Dividend


118559 INF090I01IZ5 - Franklin Asian Equity Fund - Direct - Growth
106978 INF090I01999 INF090I01AA5 Franklin Asian Equity Fund - Dividend Plan
106979 INF090I01AB3 - Franklin Asian Equity Fund - Growth Plan
118556 INF090I01JD0 INF090I01JE8 Franklin Build India Fund - Direct - Dividend
118557 INF090I01JF5 - Franklin Build India Fund - Direct - Growth
112093 INF090I01AC1 INF090I01AD9 Franklin Build India Fund Dividend Plan
112092 INF090I01AE7 - Franklin Build India Fund Growth Plan
118531 INF090I01FN7 - Franklin India Bluechip Fund- Direct - Growth
118462 INF090I01FO5 INF090I01FP2 Franklin India Bluechip Fund- Direct -Dividend
100470 INF090I01155 INF090I01163 Franklin India Bluechip Fund-Dividend
100471 INF090I01171 - Franklin India Bluechip Fund-Growth
118509 INF090I01IL5 INF090I01IM3 Franklin India FLEXI CAP FUND - Direct - Dividend
118510 INF090I01IN1 - Franklin India FLEXI CAP FUND - Direct - Growth
102884 INF090I01189 INF090I01197 Franklin India Flexi Cap Fund-Dividend Plan
102883 INF090I01205 - Franklin India Flexi Cap Fund-Growth Plan
118563 INF090I01IU6 INF090I01IV4 Franklin India High Growth Companies Fund - Direct
118564 INF090I01IW2 - Franklin India High Growth Companies Fund - Direct
105816 INF090I01965 INF090I01973 Franklin India High Growth Companies Fund - Divid
105817 INF090I01981 - Franklin India High Growth Companies Fund - Growt
118580 INF090I01GQ8 INF090I01GR6 Franklin India INDEX FUND NIFTY PLAN - Direct - D
118581 INF090I01GS4 - Franklin India INDEX FUND NIFTY PLAN - Direct -
100484 INF090I01874 INF090I01882 Franklin India Index Fund- Nifty Plan - Dividend Plan
105067 INF090I01890 - Franklin India Index Fund- Nifty Plan - Growth Plan
118538 INF090I01GD6 INF090I01GE4 Franklin INDIA OPPORTUNITIES FUND - Direct - Di
100524 INF090I01858 INF090I01866 Franklin India Opportunities Fund-Dividend
118539 INF090I01GC8 - Franklin INDIA OPPORTUNITIES FUND - Direct - G
103151 INF090I01841 - Franklin India Opportunities Fund - Growth
118532 INF090I01FI7 INF090I01FJ5 Franklin India PRIMA FUND - Direct - Dividend
118533 INF090I01FH9 - Franklin India PRIMA FUND - Direct - Growth
100472 INF090I01726 INF090I01734 Franklin India Prima Fund-Dividend
100473 INF090I01809 - Franklin India Prima Fund-Growth
118534 INF090I01FL1 INF090I01FM9 Franklin India PRIMA PLUS - Direct - Dividend
118535 INF090I01FK3 - Franklin India PRIMA PLUS - Direct - Growth
100519 INF090I01213 INF090I01221 Franklin India Prima Plus-Dividend
100520 INF090I01239 - Franklin India Prima Plus-Growth
118524 INF090I01IO9 INF090I01IP6 Franklin India Smaller Companies Fund - Direct - Di
118525 INF090I01IQ4 - Franklin India Smaller Companies Fund - Direct - Gr
103361 INF090I01544 INF090I01551 Franklin India Smaller Companies Fund-Dividend
103360 INF090I01569 - Franklin India Smaller Companies Fund-Growth
118536 INF090I01FF3 INF090I01FG1 Franklin India Technology Fund - Direct - Dividend
118537 INF090I01FE6 - Franklin India Technology Fund - Direct - Growth
100521 INF090I01759 INF090I01767 Franklin India Technology Fund-Dividend
100522 INF090I01742 - Franklin India Technology Fund-Growth
118526 INF090I01IR2 INF090I01IS0 Templeton India EQUITY INCOME FUND - Direct - D
118527 INF090I01IT8 - Templeton India EQUITY INCOME FUND - Direct -
103679 INF090I01932 INF090I01940 Templeton India Equity Income Fund-Dividend Plan
103678 INF090I01957 - Templeton India Equity Income Fund-Growth Plan
118494 INF090I01GY2 - Templeton India Growth Fund - Direct - Growth
118493 INF090I01GW6 INF090I01GX4 Templeton India Growth Fund-Direct - Dividend
100497 INF090I01270 INF090I01288 Templeton India Growth Fund-Dividend Plan
100496 INF090I01296 - Templeton India Growth Fund-Growth Plan

HDFC Mutual Fund

118931 INF179K01UU8 - HDFC Arbitrage Fund -Direct Plan - Growth Option


106799 - - HDFC ARBITRAGE FUND RETAIL PLAN DIVIDEND
106796 INF179K01319 - HDFC ARBITRAGE FUND RETAIL PLAN GROWTH
106797 INF179K01327 - HDFC ARBITRAGE FUND RETAIL PLAN QUARTER
129053 INF179KA1KQ2 INF179KA1KP4 HDFC ARBITRAGE FUND WHOLESALE PLAN DIVI
106793 INF179K01343 - HDFC ARBITRAGE FUND WHOLESALE PLAN GR
129052 INF179KA1KT6 - HDFC ARBITRAGE FUND WHOLESALE PLAN GRO
129051 INF179KA1KO7 INF179KA1KN9 HDFC ARBITRAGE FUND WHOLESALE PLAN MON
129054 INF179KA1KS8 INF179KA1KR0 HDFC ARBITRAGE FUND WHOLESALE PLAN MON
106795 INF179KA1KM1 INF179KA1KL3 HDFC ARBITRAGE FUND WHOLESALE PLAN NOR
118930 INF179K01UV6 INF179K01UW4 HDFC Arbitrage Fund-Direct Plan - Dividend Quarter
101765 INF179K01400 INF179K01418 HDFC Capital Builder Fund - Dividend Option
101764 INF179K01426 - HDFC Capital Builder Fund - Growth Option
118934 INF179K01VA8 INF179K01VB6 HDFC Capital Builder Fund -Direct Plan - Dividend O
118935 INF179K01VC4 - HDFC Capital Builder Fund -Direct Plan - Growth Op
118949 INF179K01VI1 INF179K01VJ9 HDFC Core & Satellite Fund -Direct Plan - Dividend
118950 INF179K01VK7 - HDFC Core & Satellite Fund -Direct Plan - Growth O
102761 INF179K01558 INF179K01566 HDFC Core and Satellite Fund - DIVIDEND
102760 INF179K01574 - HDFC Core and Satellite Fund - GROWTH
101763 INF179K01582 INF179K01590 HDFC Equity Fund - Dividend Option
101762 INF179K01608 - HDFC Equity Fund - Growth Option
118954 INF179K01VL5 INF179K01VM3 HDFC Equity Fund -Direct Plan - Dividend Option
118955 INF179K01UT0 - HDFC Equity Fund -Direct Plan - Growth Option
101586 INF179K01AK1 INF179K01AL9 HDFC Equity Savings Fund - DIVIDEND
119129 INF179K01XR8 INF179K01XS6 HDFC Equity Savings Fund -Direct Plan - Dividend O
119128 INF179K01XT4 - HDFC Equity Savings Fund -Direct Plan - Growth Op
101585 INF179K01AM7 - HDFC Equity Savings Fund -GROWTH
100120 INF179K01814 INF179K01822 HDFC Growth Fund - Dividend Option
100119 INF179K01830 - HDFC Growth Fund - Growth Option
118969 INF179K01VY8 INF179K01VZ5 HDFC Growth Fund -Direct Plan - Dividend Option
118968 INF179K01WA6 - HDFC Growth Fund -Direct Plan - Growth Option
119063 INF179K01WM1 - HDFC Index Fund Nifty Plan-Direct Plan
101525 INF179K01KZ8 - HDFC Index Fund-Nifty Plan(FV Rs 10.326)
119064 INF179K01WO7 - HDFC Index Fund Sensex Plus Plan-Direct Plan
101282 INF179K01LB7 - HDFC Index Fund-Sensex Plus( FV-Rs32.161)
119065 INF179K01WN9 - HDFC Index Fund Sensex Plan-Direct Plan
101281 INF179K01LA9 - HDFC Index FundSensex Plan( FV Rs 32.161)
118978 INF179K01WP4 INF179K01WR0 HDFC Infrastructure Fund -Direct Plan - Dividend Op
118979 INF179K01WQ2 - HDFC Infrastructure Fund -Direct Plan - Growth Opti
107525 INF179K01GE1 INF179K01GG6 HDFC INFRASTRUCTURE FUND-DIVIDEND OPTI
107524 INF179K01GF8 - HDFC INFRASTRUCTURE FUND-GROWTH OPTIO
130499 INF179KA1RR5 - HDFC Large Cap Fund - Direct Dividend Plan
130498 INF179KA1RQ7 - HDFC Large Cap Fund - Direct Growth Plan
130497 INF179KA1RU9 - HDFC Large Cap Fund - Regular Dividend Plan
130496 INF179KA1RT1 - HDFC Large Cap Fund - Regular Growth Plan
118988 INF179K01XO5 INF179K01XP2 HDFC Mid Cap Opportunities Fund -Direct Plan - Div
118989 INF179K01XQ0 - HDFC Mid Cap Opportunities Fund -Direct Plan - Gr
105757 INF179K01CS0 INF179K01CT8 HDFC MID-CAP OPPORTUNITIES FUND - Dividend
105758 INF179K01CR2 - HDFC MID-CAP OPPORTUNITIES FUND - Growth O
102947 INF179K01AQ8 INF179K01AR6 HDFC Premier Multi-Cap Fund-Dividend
102948 INF179K01AS4 - HDFC Premier Multi-Cap Fund-Growth
119061 INF179K01XX6 INF179K01XY4 HDFC Premier Multicap -Direct Plan - Dividend Opti
119062 INF179K01XZ1 - HDFC Premier Multicap -Direct Plan - Growth Option
136094 INF179KB1MF0 - HDFC Retirement Savings Fund - Equity Plan - Direc
136090 INF179KB1MG8 - HDFC Retirement Savings Fund - Equity Plan - Regu
130504 INF179KA1RX3 INF179KA1RY1 HDFC Small Cap Fund - Direct Dividend Plan
130503 INF179KA1RW5 - HDFC Small Cap Fund - Direct Growth Plan
130501 INF179KA1SA9 INF179KA1SB7 HDFC Small Cap Fund - Regular Dividend Plan
130502 INF179KA1RZ8 - HDFC Small Cap Fund - Regular Growth Plan
102001 INF179K01BC6 INF179K01BD4 HDFC Top 200 Fund - Dividend Option
102000 INF179K01BE2 - HDFC Top 200 Fund - Growth Option
119017 INF179K01YT2 INF179K01YU0 HDFC Top 200 Fund -Direct Plan - Dividend Option
119018 INF179K01YV8 - HDFC Top 200 Fund -Direct Plan - Growth Option

HSBC Mutual Fund

105227 INF336L01BC0 INF336L01BB2 HSBC Dividend Yield Equity Fund - Dividend


105228 INF336L01BD8 - HSBC Dividend Yield Equity Fund - Growth
120080 INF336L01EK7 INF336L01EL5 HSBC Dividend Yield Equity Fund-Dividend Direct
120081 INF336L01EM3 - HSBC Dividend Yield Equity Fund-Growth Direct
106671 INF336L01404 INF336L01396 HSBC Dynamic Fund - Dividend
106670 INF336L01412 - HSBC Dynamic Fund - Growth
120041 INF336L01CE4 INF336L01CF1 HSBC Dynamic Fund-Dividend Direct
120042 INF336L01CG9 - HSBC Dynamic Fund-Growth Direct
101593 INF336L01024 INF336L01032 HSBC Equity Fund - Dividend
120029 INF336L01CK1 INF336L01CL9 HSBC Equity Fund - Dividend Direct
101594 INF336L01016 - HSBC Equity Fund - Growth
120030 INF336L01CM7 - HSBC Equity Fund - Growth Direct
102251 INF336L01AE8 INF336L01AD0 HSBC India Opportunities Fund - Dividend
120045 INF336L01DF9 INF336L01DG7 HSBC India Opportunities Fund - Dividend Direct
102252 INF336L01AF5 - HSBC India Opportunities Fund - Growth
120046 INF336L01DH5 - HSBC India Opportunities Fund - Growth Direct
120033 INF336L01DI3 INF336L01DJ1 HSBC Infrastructure Equity Fund - Dividend Direct
103407 INF336L01255 - HSBC Infrastructure Equity Fund - Growth
120034 INF336L01DK9 - HSBC Infrastructure Equity Fund - Growth Direct
103406 INF336L01248 INF336L01230 HSBC Infrastructure Equity Fund- Dividend
103007 INF336L01AU4 INF336L01AT6 HSBC Midcap Equity Fund - Dividend
120068 INF336L01DO1 INF336L01DP8 HSBC Midcap Equity Fund - Dividend Direct
103006 INF336L01AV2 - HSBC Midcap Equity Fund - Growth
120069 INF336L01DQ6 - HSBC Midcap Equity Fund - Growth Direct

ICICI Prudential Mutual Fund

120376 INF109K010B4 INF109K011B2 ICICI Prudential Balanced Advantage Fund - Direct P


120377 INF109K012B0 - ICICI Prudential Balanced Advantage Fund - Direct P
122236 INF109K016W7 INF109K015W9 ICICI Prudential Balanced Advantage Fund - Direct P
131451 INF109KA1Y50 INF109KA1Y43 ICICI Prudential Balanced Advantage Fund - Direct P
104686 INF109K01EG8 INF109K01BG4 ICICI Prudential Balanced Advantage Fund - Dividen
104685 INF109K01BH2 - ICICI Prudential Balanced Advantage Fund - Growth
122168 INF109K018W3 INF109K017W5 ICICI Prudential Balanced Advantage Fund - Monthl
131450 INF109KA1Y35 INF109KA1Y27 ICICI Prudential Balanced Advantage Fund - Quarter
109446 INF109K01DY3 INF109K01BV3 ICICI Prudential Banking and Financial Services Fun
109445 INF109K01BU5 - ICICI Prudential Banking and Financial Services Fun
120245 INF109K011J5 INF109K012J3 ICICI Prudential Banking and Financial Services Fund
120244 INF109K013J1 - ICICI Prudential Banking and Financial Services Fund
103028 INF109K01DZ0 INF109K01AO0 ICICI Prudential Blended Plan A - Dividend
130949 INF109KA1B65 - ICICI Prudential Blended Plan A - Direct Plan Bonus
103027 INF109K01AP7 - ICICI Prudential Blended Plan A - Growth
120311 INF109K013C6 INF109K014C4 ICICI Prudential Blended Plan A-Direct Plan - Divid
120310 INF109K015C1 - ICICI Prudential Blended Plan A-Direct Plan - Growt
101127 INF109K01605 - ICICI Prudential Child Care Plan Gift - Cumulative
120579 INF109K01Y49 - ICICI Prudential Child Care Plan Gift - Direct Plan -
129309 INF109KA1UB8 INF109KA1UC6 ICICI Prudential Dividend Yield Equity Fund Direct P
129312 INF109KA1UA0 - ICICI Prudential Dividend Yield Equity Fund Direct
129311 INF109KA1TY2 INF109KA1TZ9 ICICI Prudential Dividend Yield Equity Fund Dividen
129310 INF109KA1TX4 - ICICI Prudential Dividend Yield Equity Fund Growth
120335 INF109K013K9 INF109K014K7 ICICI Prudential Dynamic - Direct Plan - Dividend
120334 INF109K015K4 - ICICI Prudential Dynamic - Direct Plan - Growth
101143 INF109K01ED5 INF109K01779 ICICI Prudential Dynamic - Dividend
101144 INF109K01761 - ICICI Prudential Dynamic - Growth
115269 INF109K01TN2 - ICICI Prudential Dynamic Plan- Institutional Growth
104898 INF109K01787 - ICICI Prudential Dynamic Plan-Institutional Option - I
104684 INF109K01BD1 - ICICI Prudential Equity - Arbritrage Fund-Institution
130898 INF109KA1C15 - ICICI Prudential Equity Arbitrage Fund - Bonus
120365 INF109K017O2 INF109K015O6 ICICI Prudential Equity Arbitrage Fund - Direct Plan
120364 INF109K016O4 - ICICI Prudential Equity Arbitrage Fund - Direct Plan
130951 INF109KA1C07 - ICICI Prudential Equity Arbitrage Fund - Direct Plan
104681 INF109K01EF0 INF109K01BE9 ICICI Prudential Equity Arbitrage Fund - Dividend
104683 INF109K01BF6 - ICICI Prudential Equity Arbitrage Fund - Growth
133051 INF109KA14I5 - ICICI Prudential Equity Income Fund - Cumulative o
133054 INF109KA11J9 - ICICI Prudential Equity Income Fund - Direct Plan -
133056 INF109KA14J3 INF109KA17J6 ICICI Prudential Equity Income Fund - Direct Plan -
133049 INF109KA12J7 INF109KA15J0 ICICI Prudential Equity Income Fund - Direct Plan -
133052 INF109KA13J5 INF109KA16J8 ICICI Prudential Equity Income Fund - Direct Plan -
133057 INF109KA17I8 INF109KA10J1 ICICI Prudential Equity Income Fund - Half Yearly D
133050 INF109KA15I2 INF109KA18I6 ICICI Prudential Equity Income Fund - Monthly Divid
133053 INF109KA16I0 INF109KA19I4 ICICI Prudential Equity Income Fund - Quarterly Div
120687 INF109K01W09 INF109K01W17 ICICI Prudential Exports and Other Services Fund - D
120688 INF109K01W25 - ICICI Prudential Exports and Other Services Fund - D
103313 INF109K01FL5 INF109K01BA7 ICICI Prudential Exports and Other Services Fund -
103312 INF109K01BB5 - ICICI Prudential Exports and Other Services Fund -
120588 INF109K01Y98 INF109K01Z06 ICICI Prudential FMCG Fund - Direct Plan - Dividen
120587 INF109K01Z14 - ICICI Prudential FMCG Fund - Direct Plan - Growth
100351 INF109K01EO2 INF109K01423 ICICI Prudential FMCG Fund - Dividend
100352 INF109K01415 - ICICI Prudential FMCG Fund - Growth
120585 INF109K014L5 INF109K015L2 ICICI Prudential Focused Bluechip Equity Fund - Dire
120586 INF109K016L0 - ICICI Prudential Focused Bluechip Equity Fund - Dire
108465 INF109K01EP9 INF109K01BM2 ICICI Prudential Focused Bluechip Equity Fund - Div
108466 INF109K01BL4 - ICICI Prudential Focused Bluechip Equity Fund - Gr
108467 INF109K01BN0 - ICICI Prudential Focused Bluechip Equity Fund - Insti
106822 INF109K01FA8 INF109K01BJ8 ICICI Prudential Indo Asia Equity Fund - Dividend
106823 INF109K01BI0 - ICICI Prudential Indo Asia Equity Fund - Growth
120591 INF109K015M0 - ICICI Prudential Indo Asia Equity Fund - Direct Plan
120870 INF109K013M5 INF109K014M3 ICICI Prudential Indo Asia Equity Fund - Direct Plan
106821 INF109K01BK6 - ICICI Prudential Indo Asia Equity Fund - Institutiona
120622 INF109K016M8 INF109K017M6 ICICI Prudential Infrastructure Fund - Direct Plan -
120621 INF109K018M4 - ICICI Prudential Infrastructure Fund - Direct Plan -
103150 INF109K01FB6 INF109K01AT9 ICICI Prudential Infrastructure Fund - Dividend
103149 INF109K01AV5 - ICICI Prudential Infrastructure Fund - Growth
120380 INF109K019M2 INF109K010N9 ICICI Prudential MidCap Fund - Direct Plan - Divide
120381 INF109K011N7 - ICICI Prudential MidCap Fund - Direct Plan - Growt
102529 INF109K01EH6 INF109K01AL6 ICICI Prudential MidCap Fund - Dividend
102528 INF109K01AN2 - ICICI Prudential MidCap Fund - Growth
120598 INF109K012O3 INF109K013O1 ICICI Prudential Multicap Fund - Direct Plan - Divid
120599 INF109K014O9 - ICICI Prudential Multicap Fund - Direct Plan - Growt
101706 INF109K01FK7 INF109K01621 ICICI Prudential Multicap Fund - Dividend
101228 INF109K01613 - ICICI Prudential Multicap Fund - Growth
101349 INF109K01PI0 - ICICI Prudential Nifty Index Fund - Cumulative Opti
120620 INF109K012M7 - ICICI Prudential Nifty Index Fund - Direct Plan Cumu
135391 INF109KB1NL1 INF109KB1NM9 ICICI Prudential Nifty Index Fund - Direct Plan Divid
135390 INF109KB1NN7 INF109KB1NO5 ICICI Prudential Nifty Index Fund - Dividend Option
120683 INF109K01Y64 INF109K01Y72 ICICI Prudential Nifty Next 50 Index Fund - Direct Pl
120684 INF109K01Y80 - ICICI Prudential Nifty Next 50 Index Fund - Direct Pl
112957 INF109K01IF1 - ICICI Prudential Nifty Next 50 Index Fund - Growth
112958 INF109K01PR1 INF109K01IE4 ICICI Prudential Nifty Next 50 Index Fund -Dividend
120723 INF109K016N6 INF109K017N4 ICICI Prudential Select Large Cap Fund - Direct Plan
120722 INF109K018N2 - ICICI Prudential Select Large Cap Fund - Direct Plan
111958 INF109K01FM3 INF109K01CA5 ICICI Prudential Select Large Cap Fund - Dividend
111957 INF109K01BZ4 - ICICI Prudential Select Large Cap Fund -Growth
141839 INF109KB17W7 - ICICI Prudential Sensex Index Fund - Cumulative Op
141841 INF109KB10X0 - ICICI Prudential Sensex Index Fund - Direct Plan -
141842 INF109KB12X6 - ICICI Prudential Sensex Index Fund - Direct Plan - D
141840 INF109KB19W3 - ICICI Prudential Sensex Index Fund - Dividend Opti
120595 INF109K01Z22 INF109K01Z30 ICICI Prudential Technology Fund - Direct Plan - Di
120594 INF109K01Z48 - ICICI Prudential Technology Fund - Direct Plan - Gr
115294 INF109K01FO9 INF109K01514 ICICI Prudential Technology Fund - Dividend
100363 INF109K01506 - ICICI Prudential Technology Fund - Growth
120597 INF109K019N0 INF109K010O7 ICICI Prudential Top 100 Fund - Direct Plan - Divid
120596 INF109K011O5 - ICICI Prudential Top 100 Fund - Direct Plan - Growt
100348 INF109K01EQ7 INF109K01449 ICICI Prudential Top 100 Fund - Dividend
100349 INF109K01431 - ICICI Prudential Top 100 Fund - Growth
120185 INF109K01Z55 INF109K01Z63 ICICI Prudential US Bluechip Equity Fund - Direct Pl
120186 INF109K01Z71 - ICICI Prudential US Bluechip Equity Fund - Direct Pl
117619 INF109K01E43 INF109K01E50 ICICI Prudential US Bluechip Equity Fund - Dividend
117620 INF109K01E35 - ICICI Prudential US Bluechip Equity Fund - Growth
120322 INF109K011K3 INF109K010K5 ICICI Prudential Value Discovery Fund - Direct Plan
120323 INF109K012K1 - ICICI Prudential Value Discovery Fund - Direct Plan
102595 INF109K01EC7 INF109K01AD3 ICICI Prudential Value Discovery Fund - Dividend
102594 INF109K01AF8 - ICICI Prudential Value Discovery Fund - Growth

IDBI Mutual Fund

128233 INF397L01HC9 - IDBI DIVERSIFIED EQUITY FUND Dividend - Direct


128234 INF397L01HG0 - IDBI DIVERSIFIED EQUITY FUND Dividend - Regula
128236 INF397L01HF2 - IDBI DIVERSIFIED EQUITY FUND Growth Direct
128235 INF397L01HJ4 - IDBI DIVERSIFIED EQUITY FUND Growth Regular
141917 INF397L01KB5 INF397L01KC3 IDBI FOCUSED 30 EQUITY FUND - Dividend Regul
141920 INF397L01KA7 - IDBI FOCUSED 30 EQUITY FUND - Growth Direct
141919 INF397L01KE9 - IDBI FOCUSED 30 EQUITY FUND - Growth Regular
141918 INF397L01JX1 INF397L01JY9 IDBI FOCUSED 30 EQUITY FUND -Dividend Direct
117310 INF397L01836 INF397L01844 IDBI India Top 100 Equity Fund Dividend
118448 INF397L01BW0 INF397L01BX8 IDBI India Top 100 Equity Fund Dividend Direct
117311 INF397L01869 - IDBI India Top 100 Equity Fund Growth
118344 INF397L01BV2 - IDBI India Top 100 Equity Fund Growth Direct
140458 INF397L01JH4 INF397L01JI2 IDBI Midcap Fund Dividend Direct
140459 INF397L01JL6 INF397L01JM4 IDBI Midcap Fund Dividend Regular
140461 INF397L01JK8 - IDBI Midcap Fund Growth Direct
140460 INF397L01JO0 - IDBI Midcap Fund Growth Regular
113062 INF397L01083 INF397L01075 IDBI Nifty Index Fund Dividend
118455 INF397L01AN1 INF397L01AO9 IDBI Nifty Index Fund Dividend Direct
113063 INF397L01091 - IDBI NIFTY Index Fund Growth
118347 INF397L01AP6 - IDBI NIFTY Index Fund Growth Direct
113250 INF397L01166 INF397L01182 IDBI Nifty Junior Index Fund Dividend
118456 INF397L01AY8 INF397L01AX0 IDBI Nifty Junior Index Fund Dividend Direct
113249 INF397L01174 - IDBI Nifty Junior Index Fund Growth
118348 INF397L01AW2 - IDBI Nifty Junior Index Fund Growth Direct
141477 INF397L01JT9 INF397L01JU7 IDBI Small Cap Fund - Dividend Regular
141475 INF397L01JS1 - IDBI Small Cap Fund - Growth Direct
141476 INF397L01JP7 INF397L01JQ5 IDBI Small Cap Fund Dividend Direct
141462 INF397L01JW3 - IDBI Small Cap Fund Growth Regular

IDFC Mutual Fund

118474 INF194K01Y60 - IDFC Arbitrage Fund-Direct Plan- Growth


118475 INF194K01Y78 INF194K01Y86 IDFC Arbitrage Fund-Direct Plan-Monthly Dividend
108845 INF194K01649 - IDFC Arbitrage Fund-Regular Plan- Growth
108847 INF194K01656 INF194K01664 IDFC Arbitrage Fund-Regular Plan-Monthly Dividen
108844 INF194K01623 INF194K01631 IDFC Arbitrage Fund - Plan B - Dividend
108846 INF194K01615 - IDFC Arbitrage Fund - Plan B - Growth
133679 INF194KA1YG5 INF194KA1YH3 IDFC Arbitrage Fund-Direct Plan- Annual Dividend
133680 INF194KA1YD2 INF194KA1YE0 IDFC Arbitrage Fund-Regular Plan- Annual Dividend
108993 INF194K01565 INF194K01573 IDFC Arbitrage Plus Fund -B-DIVIDEND
108994 INF194K01557 - IDFC Arbitrage Plus Fund -B-GROWTH
133682 INF194KA1XX2 INF194KA1XY0 IDFC Arbitrage Plus Fund- Regular Plan- Annual Div
133681 INF194KA1YA8 INF194KA1YB6 IDFC Arbitrage Plus Fund-Direct Plan- Annual Divid
118477 INF194K01Z02 - IDFC Arbitrage Plus Fund-Direct Plan-Growth
118476 INF194K01Z10 INF194K01Z28 IDFC Arbitrage Plus Fund-Direct Plan-Monthly Divid
108995 INF194K01581 - IDFC Arbitrage Plus Fund-Regular Plan-Growth
108992 INF194K01599 INF194K01607 IDFC Arbitrage Plus Fund-Regular Plan-Monthly Div
118420 INF194K01V97 INF194K01W05 IDFC Classic Equity Fund-Direct Plan-Dividend
118419 INF194K01V89 - IDFC Classic Equity Fund-Direct Plan-Growth
108597 INF194K01532 INF194K01540 IDFC Classic Equity Fund-Regular Plan-Dividend
108596 INF194K01524 - IDFC Classic Equity Fund-Regular Plan-Growth
111864 INF194K01185 INF194K01193 IDFC Classic Equity Fund-Plan B- Dividend
111863 INF194K01177 - IDFC Classic Equity Fund-Plan B- Growth
131356 INF194KA1UI9 INF194KA1UJ7 IDFC DEF_Direct Plan_Dividend
131355 INF194KA1UH1 - IDFC DEF_Direct Plan_Growth
131354 INF194KA1UF5 INF194KA1UG3 IDFC DEF_Regular Plan_Dividend
131357 INF194KA1UE8 - IDFC DEF_Regular Plan_Growth
118478 INF194K01Z51 INF194K01Z69 IDFC Equity Fund-Direct Plan-Dividend
118479 INF194K01Z44 - IDFC Equity Fund-Direct Plan-Growth
108800 INF194K01490 INF194K01508 IDFC Equity Fund-Regular Plan-Dividend
108799 INF194K01516 - IDFC Equity Fund-Regular Plan-Growth
112068 INF194K01243 INF194K01250 IDFC Equity Fund -Plan B- Dividend
112069 INF194K01235 - IDFC Equity Fund -Plan B-Growth
118422 INF194K01W39 INF194K01W47 IDFC Focused Equity Fund-Direct Plan-Dividend
118421 INF194K01W21 - IDFC Focused Equity Fund-Direct Plan-Growth
108593 INF194K01474 INF194K01482 IDFC Focused Equity Fund-Regular Plan-Dividend
108592 INF194K01466 - IDFC Focused Equity Fund-Regular Plan-Growth
111866 INF194K01441 INF194K01458 IDFC Imperial Equity Fund-Plan B - Dividend
111865 INF194K01433 - IDFC Imperial Equity Fund-Plan B - Growth
118468 INF194K01X53 INF194K01X61 IDFC Infrastructure Fund-Direct Plan-Dividend
118469 INF194K01X46 - IDFC Infrastructure Fund-Direct Plan-Growth
114477 INF194K01BZ6 INF194K01CA7 IDFC Infrastructure Fund-Regular Plan-Dividend
114476 INF194K01BY9 - IDFC Infrastructure Fund-Regular Plan-Growth
118483 INF194K013A6 INF194K014A4 IDFC Nifty Fund-Direct Plan-Dividend
118482 INF194K012A8 - IDFC Nifty Fund-Direct Plan-Growth
112878 INF194K01938 INF194K01946 IDFC Nifty Fund-Regular Plan-Dividend
112877 INF194K01920 - IDFC Nifty Fund-Regular Plan-Growth
118423 INF194K01W70 INF194K01W88 IDFC Premier Equity Fund-Direct Plan-Dividend
118424 INF194K01W62 - IDFC Premier Equity Fund-Direct Plan-Growth
108595 INF194K01409 INF194K01417 IDFC Premier Equity Fund-Regular Plan-Dividend
108594 INF194K01391 - IDFC Premier Equity Fund-Regular Plan-Growth
111861 INF194K01375 INF194K01383 IDFC Premier Equity Fund-Plan B - Dividend
111862 INF194K01425 - IDFC Premier Equity Fund_Plan B - Growth
108908 INF194K01359 INF194K01367 IDFC Sterling Equity Fund -Regular Plan-Dividend
108909 INF194K01342 - IDFC Sterling Equity Fund -Regular Plan-Growth
118480 INF194K01Z93 INF194K010A2 IDFC Sterling Equity Fund-Direct Plan-Dividend
118481 INF194K01Z85 - IDFC Sterling Equity Fund-Direct Plan-Growth

IIFL Mutual Fund

131581 INF579M01910 INF579M01928 IIFL India Growth Fund - Direct Plan - Dividend
131579 INF579M01886 INF579M01894 IIFL India Growth Fund - Regular Plan - Dividend
131578 INF579M01878 - IIFL India Growth Fund -Regular Plan - Growth
131580 INF579M01902 - IIFL India Growth Fund-Direct Plan-Growth

Indiabulls Mutual Fund

133181 INF666M01AW8 - Indiabulls Arbitrage Fund - Direct Plan - Growth Opti


140805 INF666M01CE2 INF666M01CF9 Indiabulls Arbitrage Fund - Direct Plan - Half Yearly
140801 INF666M01AX6 INF666M01AY4 Indiabulls Arbitrage Fund - Direct Plan - Monthly Div
133184 INF666M01BA2 - Indiabulls Arbitrage Fund - Regular Plan - Growth Op
140806 INF666M01CK9 INF666M01CL7 Indiabulls Arbitrage Fund - Regular Plan - Half Year
140802 INF666M01BB0 INF666M01BC8 Indiabulls Arbitrage Fund - Regular Plan - Monthly D
140804 INF666M01CG7 INF666M01CH5 Indiabulls Arbitrage Fund - Regular Plan - Quarterly
140808 INF666M01CI3 INF666M01CJ1 Indiabulls Arbitrage Fund - Regular Plan - Yearly Di
119134 INF666M01626 INF666M01618 Indiabulls Blue Chip Fund - Direct Plan - Dividend Op
119133 INF666M01600 - Indiabulls Blue Chip Fund - Direct Plan - Growth Opt
140814 INF666M01CQ6 INF666M01CR4 Indiabulls Blue Chip Fund - Direct Plan - Half Yearly
140809 INF666M01CM5 INF666M01CN3 Indiabulls Blue Chip Fund - Direct Plan - Monthly Di
140811 INF666M01CO1 INF666M01CP8 Indiabulls Blue Chip Fund - Direct Plan - Quarterly D
116548 INF666M01188 INF666M01170 Indiabulls Blue Chip Fund - Dividend Option
116547 INF666M01162 - Indiabulls Blue Chip Fund - Growth Option
140813 INF666M01CW4 INF666M01CX2 Indiabulls Blue Chip Fund - Regular Plan - Half Year
140810 INF666M01CS2 INF666M01CT0 Indiabulls Blue Chip Fund - Regular Plan - Monthly D
140812 INF666M01CU8 INF666M01CV6 Indiabulls Blue Chip Fund - Regular Plan - Quarterly
135342 INF666M01BF1 INF666M01BG9 Indiabulls Value Discovery Fund - Direct Plan - Divi
135341 INF666M01BE4 - Indiabulls Value Discovery Fund - Direct Plan - Grow
140819 INF666M01DC4 INF666M01DD2 Indiabulls Value Discovery Fund - Direct Plan - Half
140815 INF666M01CY0 INF666M01CZ7 Indiabulls Value Discovery Fund - Direct Plan - Mont
140817 INF666M01DA8 INF666M01DB6 Indiabulls Value Discovery Fund - Direct Plan - Quar
135344 INF666M01BI5 INF666M01BJ3 Indiabulls Value Discovery Fund - Regular Plan - Di
135343 INF666M01BH7 - Indiabulls Value Discovery Fund - Regular Plan - Gr
140820 INF666M01DI1 INF666M01DJ9 Indiabulls Value Discovery Fund - Regular Plan - Hal
140816 INF666M01DE0 INF666M01DF7 Indiabulls Value Discovery Fund - Regular Plan - Mo

Invesco Mutual Fund

130788 INF205K01P50 - Invesco India Arbitrage Fund - Annual Bonus


122785 INF205K01VF0 - Invesco India Arbitrage Fund - Bonus Option
130787 INF205K01P68 - Invesco India Arbitrage Fund - Direct Plan - Annual
122784 INF205K01VO2 - Invesco India Arbitrage Fund - Direct Plan - Bonus O
120400 INF205K01KP2 INF205K01KQ0 Invesco India Arbitrage Fund - Direct Plan - Dividen
120401 INF205K01KR8 - Invesco India Arbitrage Fund - Direct Plan - Growth
105604 INF205K01148 INF205K01130 Invesco India Arbitrage Fund - Dividend Option
105603 INF205K01122 - Invesco India Arbitrage Fund - Growth Option
120384 INF205K01KW8 INF205K01KX6 Invesco India Banking Fund - Direct Plan - Dividend
120385 INF205K01KY4 - Invesco India Banking Fund - Direct Plan - Growth
108377 INF205K01171 INF205K01163 Invesco India Banking Fund - Retail Dividend
108378 INF205K01155 - Invesco India Banking Fund - Retail Growth
120393 INF205K01KZ1 INF205K01LA2 Invesco India Business Leaders Fund - Direct Plan -
120392 INF205K01LB0 - Invesco India Business Leaders Fund - Direct Plan -
112099 INF205K01320 INF205K01312 Invesco India Business Leaders Fund - Dividend
112098 INF205K01304 - Invesco India Business Leaders Fund - Growth
120349 INF205K01LC8 INF205K01LD6 Invesco India Contra Fund - Direct Plan - Dividend
120348 INF205K01LE4 - Invesco India Contra Fund - Direct Plan - Growth
105459 INF205K01205 INF205K01197 Invesco India Contra Fund - Dividend
105460 INF205K01189 - Invesco India Contra Fund - Growth
120332 INF205K01LL9 INF205K01LM7 Invesco India Dynamic Equity Fund - Direct Plan - D
120333 INF205K01LN5 - Invesco India Dynamic Equity Fund - Direct Plan - G
106316 INF205K01239 INF205K01221 Invesco India Dynamic Equity Fund - Dividend
106317 INF205K01213 - Invesco India Dynamic Equity Fund - Growth
120356 INF205K01LY2 INF205K01LZ9 Invesco India Growth Fund - Direct Plan - Dividend
120357 INF205K01MA0 - Invesco India Growth Fund - Direct Plan - Growth
106143 INF205K01262 INF205K01254 Invesco India Growth Fund - Dividend
106144 INF205K01247 - Invesco India Growth Fund - Growth
120404 INF205K01MB8 INF205K01MC6 Invesco India Infrastructure Fund - Direct Pan - Divi
120405 INF205K01MD4 - Invesco India Infrastructure Fund - Direct Pan - Gro
106653 INF205K01CE3 INF205K01CF0 Invesco India Infrastructure Fund - Dividend Option
106654 INF205K01CD5 - Invesco India Infrastructure Fund - Growth Option
120402 INF205K01MT0 INF205K01MU8 Invesco India Mid Cap Fund - Direct Plan - Dividend
120403 INF205K01MV6 - Invesco India Mid Cap Fund - Direct Plan - Growth O
105504 INF205K01BD7 INF205K01BE5 Invesco India Mid Cap Fund - Dividend Option
105503 INF205K01BC9 - Invesco India Mid Cap Fund - Growth Option
120412 INF205K01MQ6 INF205K01MR4 Invesco India MID N SMALL CAP Fund - Direct Plan
120413 INF205K01MS2 - Invesco India MID N SMALL CAP Fund - Direct Plan
107352 INF205K01DO0 INF205K01DP7 Invesco India MID N SMALL CAP Fund - Dividend O
107353 INF205K01DN2 - Invesco India MID N SMALL CAP Fund - Growth Opt
120394 INF205K01NE0 INF205K01NF7 Invesco India PSU Equity Fund - Direct Plan - Divid
120395 INF205K01NG5 - Invesco India PSU Equity Fund - Direct Plan - Growt
112173 INF205K01353 INF205K01346 Invesco India PSU Equity Fund - Dividend
112171 INF205K01338 - Invesco India PSU Equity Fund - Growth

JM Financial Mutual Fund

133395 INF192K01GX4 - JM Arbitrage Advantage Fund (Direct) - Annual Bonus


135173 INF192K01KY4 INF192K01KZ1 JM Arbitrage Advantage Fund (Direct) - Annual Divi
130604 INF192K01GL9 - JM Arbitrage Advantage Fund (Direct) - Bonus Option
120481 INF192K01BL0 INF192K01BM8 JM Arbitrage Advantage Fund (Direct) - Dividend Op
120482 INF192K01BN6 - JM Arbitrage Advantage Fund (Direct) - Growth Opti
133397 INF192K01ID2 - JM Arbitrage Advantage Fund (Direct) - Half Yearly B
135171 INF192K01KU2 INF192K01KV0 JM Arbitrage Advantage Fund (Direct) - Half Yearly
135172 INF192K01KM9 INF192K01KN7 JM Arbitrage Advantage Fund (Direct) - Monthly Div
133398 INF192K01IH3 - JM Arbitrage Advantage Fund (Direct) - Quarterly Bon
135174 INF192K01KQ0 INF192K01KR8 JM Arbitrage Advantage Fund (Direct) - Quarterly Di
133394 INF192K01GV8 - JM Arbitrage Advantage Fund - Annual Bonus Optio
135167 INF192K01KW8 INF192K01KX6 JM Arbitrage Advantage Fund - Annual Dividend Opt
130603 INF192K01GJ3 - JM Arbitrage Advantage Fund - Bonus Option - Princi
133399 INF192K01IB6 - JM Arbitrage Advantage Fund - Half Yearly Bonus Opt
135170 INF192K01KS6 INF192K01KT4 JM Arbitrage Advantage Fund - Half Yearly Dividend
135168 INF192K01KK3 INF192K01KL1 JM Arbitrage Advantage Fund - Monthly Dividend Op
133396 INF192K01IF7 - JM Arbitrage Advantage Fund - Quarterly Bonus Optio
135169 INF192K01KO5 INF192K01KP2 JM Arbitrage Advantage Fund - Quarterly Dividend O
103781 INF192K01494 INF192K01502 JM ARBITRAGE ADVANTAGE FUND-Dividend
103780 INF192K01510 - JM ARBITRAGE ADVANTAGE FUND-Growth
120485 INF192K01BR7 INF192K01BS5 JM Basic Fund (Direct) - Dividend Option
120486 INF192K01BT3 - JM Basic Fund (Direct) - Growth Option
106168 INF137A01011 INF137A01029 JM Basic Fund - Dividend Option
100254 INF137A01037 - JM Basic Fund - Growth Option
120488 INF192K01BW7 - JM Core 11 Fund (Direct) - Growth Option
120487 INF192K01BU1 INF192K01BV9 JM Core 11 Fund (Direct) - Dividend Option
107409 INF192K01551 INF192K01569 JM Core 11 Fund - Dividend option
107410 INF192K01577 - JM Core 11 Fund - Growth option
134958 INF192K01JU4 INF192K01JV2 JM Equity Fund (Direct) - Annual Dividend Option
120489 INF192K01BX5 INF192K01BY3 JM Equity Fund (Direct) - Dividend Option
120490 INF192K01BZ0 - JM Equity Fund (Direct) - Growth Option
134957 INF192K01JR0 INF192K01JZ3 JM Equity Fund (Direct) - Half Yearly Dividend Optio
134956 INF192K01JJ7 INF192K01JK5 JM Equity Fund (Direct) - Monthly Dividend Option
134960 INF192K01JN9 INF192K01JO7 JM Equity Fund (Direct) - Quarterly Dividend Option
134961 INF192K01JS8 INF192K01JT6 JM Equity Fund - Annual Dividend Option
134955 INF192K01JP4 INF192K01JQ2 JM Equity Fund - Half Yearly Dividend Option
134959 INF192K01JH1 INF192K01JI9 JM Equity Fund - Monthly Dividend Option
134954 INF192K01JL3 INF192K01JM1 JM Equity Fund - Quarterly Dividend Option
100218 INF192K01585 INF192K01593 JM Equity Fund-Dividend
100219 INF192K01601 - JM Equity Fund-Growth
120491 INF192K01CA1 INF192K01CB9 JM Multi Strategy Fund (Direct) - Dividend Option
120492 INF192K01CC7 - JM Multi Strategy Fund (Direct) - Growth Option
109523 INF192K01619 INF192K01627 JM Multi Strategy Fund - Dividend option
109522 INF192K01635 - JM Multi Strategy Fund - Growth option

Kotak Mahindra Mutual Fund

114457 INF174K01161 INF174K01179 Kotak 50 - Dividend


120153 INF174K01KX4 - Kotak 50 - Dividend - Direct
114458 INF174K01153 - Kotak 50 - Growth
120152 INF174K01KW6 - Kotak 50 - Growth - Direct
103039 INF174K01252 INF174K01260 Kotak Classic Equity Scheme---Dividend
119768 INF174K01LA0 - Kotak Classic Equity Scheme---Dividend - Direct
103040 INF174K01245 - Kotak Classic Equity Scheme---Growth
119769 INF174K01KZ9 - Kotak Classic Equity Scheme---Growth - Direct
104907 INF174K01DT7 INF174K01DU5 Kotak Emerging Equity Scheme - Dividend
119774 INF174K01LU8 - Kotak Emerging Equity Scheme - Dividend - Direct
104908 INF174K01DS9 - Kotak Emerging Equity Scheme - Growth
119775 INF174K01LT0 - Kotak Emerging Equity Scheme - Growth - Direct
133034 INF174K01F34 INF174K01F18 Kotak Equity Arbitrage Fund - Bimonthly
133033 INF174K01F42 - Kotak Equity Arbitrage Fund - Bimonthly Direct
105967 INF174K01310 INF174K01328 Kotak Equity Arbitrage Fund - Dividend
119770 INF174K01LD4 - Kotak Equity Arbitrage Fund - Dividend - Direct
140414 INF174K012K1 INF174KO14K7 Kotak Equity Arbitrage Fund - Fortnightly - Regular
105968 INF174K01302 - Kotak Equity Arbitrage Fund - Growth
119771 INF174K01LC6 - Kotak Equity Arbitrage Fund - Growth - Direct
140413 INF174K013K9 INF174K015K4 Kotak Equity Arbitrage Fund -Fortnightly - Direct
131373 INF174K01D28 - Kotak Equity Savings Fund - Direct - Growth
131375 INF174K01D36 INF174K01D51 Kotak Equity Savings Fund - Direct - Monthly Divide
131377 INF174K01D44 INF174K01D69 Kotak Equity Savings Fund - Direct - Quarterly Divid
131372 INF174K01C78 - Kotak Equity Savings Fund - Regular - Growth
131374 INF174K01C86 INF174K01D02 Kotak Equity Savings Fund - Regular - Monthly Divi
131376 INF174K01C94 INF174K01D10 Kotak Equity Savings Fund - Regular - Quarterly Div
106442 INF174K01DW1 INF174K01DX9 Kotak Global Emerging Market Fund - Dividend
119778 INF174K01LX2 - Kotak Global Emerging Market Fund - Dividend - Dir
106441 INF174K01DV3 - Kotak Global Emerging Market Fund - Growth
119779 INF174K01LW4 - Kotak Global Emerging Market Fund - Growth - Direc
133799 INF178L01087 INF178L01079 Kotak Infrastructure & Economic Reform Fund - Stan
133796 INF178L01095 - Kotak Infrastructure & Economic Reform Fund - Sta
133800 INF178L01AJ3 INF178L01AK1 Kotak Infrastructure & Economic Reform Fund- Direc
133801 INF178L01AL9 - Kotak Infrastructure & Economic Reform Fund- Direc
102874 INF174K01229 INF174K01237 Kotak-Mid-Cap-Dividend
120163 INF174K01KU0 - Kotak-Mid-Cap-Dividend - Direct
102875 INF174K01211 - Kotak-Mid-Cap-Growth
120164 INF174K01KT2 - Kotak-Mid-Cap-Growth - Direct
103233 INF174K01195 INF174K01203 Kotak Opportunities---Dividend
120157 INF174K01LG7 - Kotak Opportunities---Dividend - Direct
103234 INF174K01187 - Kotak Opportunities---Growth
120158 INF174K01LF9 - Kotak Opportunities---Growth - Direct
112089 INF174K01344 INF174K01351 Kotak Select Focus Fund - Dividend
120165 INF174K01LQ6 - Kotak Select Focus Fund - Dividend - Direct
112090 INF174K01336 - Kotak Select Focus Fund - Growth
120166 INF174K01LS2 - Kotak Select Focus Fund - Growth - Direct

L&T Mutual Fund

130453 INF917K01QW5 - L&T Arbitrage Opportunities Fund - Direct Plan - Bo


130450 INF917K01QR5 - L&T Arbitrage Opportunities Fund - Direct Plan - Gr
130447 INF917K01QN4 INF917K01QS3 L&T Arbitrage Opportunities Fund - Direct Plan - Mon
130448 INF917K01QV7 INF917K01QU9 L&T Arbitrage Opportunities Fund - Direct Plan - Qua
130451 INF917K01QQ7 - L&T Arbitrage Opportunities Fund - Regular Plan -
130446 INF917K01QL8 - L&T Arbitrage Opportunities Fund - Regular Plan - G
130452 INF917K01QM6 - L&T Arbitrage Opportunities Fund - Regular Plan - M
130449 INF917K01QP9 INF917K01QO2 L&T Arbitrage Opportunities Fund - Regular Plan - Q
130828 INF917K01RK8 INF917K01RJ0 L&T Business Cycles Fund - Direct Plan - Dividend
130825 INF917K01RI2 - L&T Business Cycles Fund - Direct Plan - Growth
130826 INF917K01RH4 INF917K01RG6 L&T Business Cycles Fund - Regular Plan - Dividend
130827 INF917K01RF8 - L&T Business Cycles Fund - Regular Plan - Growth
119297 INF917K01IM3 INF917K01IL5 L&T Dynamic Equity Fund-Direct Plan-Dividend
119298 INF917K01IN1 - L&T Dynamic Equity Fund-Direct Plan-Growth
118193 INF917K01KW8 INF917K01KX6 L&T Dynamic Equity Fund-Regular Plan-Dividend
118194 INF917K01KY4 - L&T Dynamic Equity Fund-Regular Plan-Growth
129222 INF917K01PZ0 - L&T Emerging Businesses Fund - Direct Plan - Divi
129220 INF917K01QA1 - L&T Emerging Businesses Fund - Direct Plan - Grow
129221 INF917K01QB9 - L&T Emerging Businesses Fund - Regular Plan - Div
129223 INF917K01QC7 - L&T Emerging Businesses Fund - Regular Plan - Gr
119290 INF917K01FB2 INF917K01FA4 L&T Equity Fund-Direct Plan-Dividend
119291 INF917K01FC0 - L&T Equity Fund-Direct Plan-Growth
118044 INF677K01049 INF677K01056 L&T Equity Fund-Regular Plan-Dividend
118043 INF677K01031 - L&T Equity Fund-Regular Plan-Growth
119801 INF917K01GD6 INF917K01GC8 L&T Equity Savings Fund- Direct Plan-Quarterly Div
119802 INF917K01GE4 - L&T Equity Savings Fund - Direct Plan-Growth
119803 INF917K01GA2 - L&T Equity Savings Fund - Direct Plan-Monthly Divi
115887 INF917K01AA5 - L&T Equity Savings Fund - Regular Plan - Growth
115883 INF917K01965 INF917K01973 L&T Equity Savings Fund - Regular Plan - Monthly D
115886 INF917K01981 INF917K01999 L&T Equity Savings Fund - Regular Plan - Quarterly
119308 INF917K01FQ0 - L&T India Large Cap Fund - Direct Plan - Growth
119314 INF917K01FP2 INF917K01FO5 L&T India Large Cap Fund - Direct Plan- Dividend
118070 INF677K01163 INF677K01171 L&T India Large Cap Fund - Regular Plan - Dividend
118069 INF677K01155 - L&T India Large Cap Fund - Regular Plan - Growth
133871 INF917K01TY5 INF917K01TX7 L&T India Prudence Fund - Direct Plan - Annual Div
119348 INF917K01LD6 - L&T India Prudence Fund - Direct Plan -Dividend
119347 INF917K01LE4 - L&T India Prudence Fund - Direct Plan-Growth
133870 INF917K01TW9 INF917K01TV1 L&T India Prudence Fund - Regular Plan- Annual Di
118192 INF917K01KZ1 INF917K01LA2 L&T India Prudence Fund- Regular Plan - Dividend
118191 INF917K01LB0 - L&T India Prudence Fund- Regular Plan - Growth
119398 INF917K01FS6 INF917K01FR8 L&T India Special Situations Fund- Direct Plan -Divi
119397 INF917K01FT4 - L&T India Special Situations Fund-Direct Plan-Growt
118050 INF677K01106 INF677K01114 L&T India Special Situations Fund-Regular Plan-Div
118049 INF677K01098 - L&T India Special Situations Fund-Regular Plan-Gro
119403 INF917K01HC6 INF917K01HB8 L&T India Value Fund-Direct Plan-Dividend
119404 INF917K01HD4 - L&T India Value Fund-Direct Plan-Growth
118103 INF677K01213 INF677K01015 L&T India Value Fund-Regular Plan-Dividend
118102 INF677K01023 - L&T India Value Fund-Regular Plan-Growth
112601 INF917K01544 INF917K01551 L&T Infrastructure Fund - Regular Plan - Dividend
112600 INF917K01536 - L&T Infrastructure Fund - Regular Plan - Growth
119413 INF917K01FW8 - L&T Infrastructure Fund -Direct Plan-Growth
119412 INF917K01FU2 - L&T Infrastructure Fund-Direct Plan-Dividend
119806 INF917K01FX6 - L&T Mid Cap Fund-Direct Plan -Dividend
119807 INF917K01FZ1 - L&T Mid Cap Fund-Direct Plan-Growth
112495 INF917K01239 INF917K01247 L&T Mid Cap Fund-Regular Plan-Dividend
112496 INF917K01254 - L&T Mid Cap Fund-Regular Plan-Growth

LIC Mutual Fund

133908 INF767K01NJ8 INF767K01NL4 LIC MF Banking and Financial Services Fund-Direct


134017 INF767K01NK6 - LIC MF Banking and Financial Services Fund-Direct
134015 INF767K01NG4 INF767K01NI0 LIC MF Banking and Financial Services Fund-Regula
134016 INF767K01NH2 - LIC MF Banking and Financial Services Fund-Regul
120285 INF767K01FB1 - LIC MF Children's Gift Fund-Direct Plan-Growth
101271 INF767K01048 - LIC MF Children's Gift Fund-Regular Plan-Growth
120263 INF767K01EF5 INF767K01EH1 LIC MF Equity Fund-Direct Plan-Dividend
120264 INF767K01EG3 - LIC MF Equity Fund-Direct Plan-Growth
100312 INF767K01063 INF767K01055 LIC MF Equity Fund-Regular Plan-Dividend
100313 INF767K01071 - LIC MF Equity Fund-Regular Plan-Growth
120268 INF767K01EI9 INF767K01EK5 LIC MF Growth Fund-Direct Plan-Dividend
120267 INF767K01EJ7 - LIC MF Growth Fund-Direct Plan-Growth
100332 INF767K01097 INF767K01089 LIC MF Growth Fund-Regular Plan-Dividend
106871 INF767K01105 - LIC MF Growth Fund-Regular Plan-Growth
120309 INF767K01FG0 INF767K01FH8 LIC MF Index Fund-Nifty Plan-Direct Plan-Dividend
120307 INF767K01FF2 - LIC MF Index Fund-Nifty Plan-Direct Plan-Growth
101200 INF767K01154 INF767K01147 LIC MF Index Fund-Nifty Plan-Regular Plan-Dividen
101201 INF767K01162 - LIC MF Index Fund-Nifty Plan-Regular Plan-Growth
120312 INF767K01FI6 INF767K01FK2 LIC MF Index Fund-Sensex Plan-Direct Plan-Dividen
120308 INF767K01FJ4 - LIC MF Index Fund-Sensex Plan-Direct Plan-Growth
101198 INF767K01121 INF767K01113 LIC MF Index Fund-Sensex Plan-Regular Plan-Divid
101199 INF767K01139 - LIC MF Index Fund-Sensex Plan-Regular Plan-Grow
120350 INF767K01GV7 INF767K01GX3 LIC MF Infrastructure Fund-Direct Plan-Dividend
120351 INF767K01GW5 - LIC MF Infrastructure Fund-Direct Plan-Growth
107764 INF767K01485 INF767K01493 LIC MF Infrastructure Fund-Regular Plan-Dividend
107763 INF767K01501 - LIC MF Infrastructure Fund-Regular Plan-Growth
133709 INF767K01ND1 INF767K01NF6 LIC MF Midcap Fund-Direct Plan-Dividend
133710 INF767K01NE9 - LIC MF Midcap Fund-Direct Plan-Growth
133712 INF767K01NA7 INF767K01NC3 LIC MF Midcap Fund-Regular Plan-Dividend
133711 INF767K01NB5 - LIC MF Midcap Fund-Regular Plan-Growth

Mahindra Mutual Fund

141223 INF174V01366 INF174V01358 Mahindra Mutual Fund Badhat Yojana - Direct Plan -
141226 INF174V01341 - Mahindra Mutual Fund Badhat Yojana - Direct Plan -
141225 INF174V01333 INF174V01325 Mahindra Mutual Fund Badhat Yojana - Regular Plan
141224 INF174V01317 - Mahindra Mutual Fund Badhat Yojana - Regular Plan
140442 INF174V01192 INF174V01200 Mahindra Mutual Fund Dhan Sanchay Yojana -Direct
140444 INF174V01184 - Mahindra Mutual Fund Dhan Sanchay Yojana -Direct
140446 INF174V01168 INF174V01176 Mahindra Mutual Fund Dhan Sanchay Yojana -Regula
140447 INF174V01150 - Mahindra Mutual Fund Dhan Sanchay Yojana -Regul

Mirae Asset Mutual Fund

118835 INF769K01BJ9 INF769K01BK7 Mirae Asset Emerging Bluechip Fund - Direct Plan -
118834 INF769K01BI1 - Mirae Asset Emerging Bluechip Fund - Direct Plan -
112931 INF769K01127 INF769K01119 Mirae Asset Emerging Bluechip Fund - Regular Plan
112932 INF769K01101 - Mirae Asset Emerging Bluechip Fund - Regular Plan
118838 INF769K01BM3 INF769K01BN1 Mirae Asset Great Consumer Fund - Direct Plan - Di
118837 INF769K01BL5 - Mirae Asset Great Consumer Fund - Direct Plan - G
114930 INF769K01150 INF769K01143 Mirae Asset Great Consumer Fund - Regular Plan -
114931 INF769K01135 - Mirae Asset Great Consumer Fund - Regular Plan -
118826 INF769K01AY0 INF769K01AZ7 Mirae Asset India Opportunities Fund - Direct Plan -
118825 INF769K01AX2 - Mirae Asset India Opportunities Fund - Direct Plan -
107579 INF769K01036 INF769K01028 Mirae Asset India Opportunities Fund - Dividend Pla
107578 INF769K01010 - Mirae Asset India Opportunities Fund - Growth Plan
134814 INF769K01DI7 INF769K01DJ5 Mirae Asset Prudence Fund -Direct Plan-Dividend
134813 INF769K01DH9 - Mirae Asset Prudence Fund -Direct Plan-Growth
134816 INF769K01DF3 INF769K01DG1 Mirae Asset Prudence Fund -Regular Plan-Dividend
134815 INF769K01DE6 - Mirae Asset Prudence Fund -Regular Plan-Growth
Motilal Oswal Mutual Fund

122390 INF247L01205 INF247L01197 MOSt Focused 25 Fund- Direct Plan Dividend Optio
122389 INF247L01189 - MOSt Focused 25 Fund- Direct Plan Growth Option
122388 INF247L01171 INF247L01163 MOSt Focused 25 Fund- Regular Plan Dividend Opti
122387 INF247L01155 - MOSt Focused 25 Fund- Regular Plan Growth Optio
139866 INF247L01650 - MOSt Focused Dynamic Equity - Direct Plan - Annua
139872 INF247L01635 - MOSt Focused Dynamic Equity - Direct Plan - Growt
139865 INF247L01643 - MOSt Focused Dynamic Equity - Direct Plan - Quarte
139863 INF247L01601 - MOSt Focused Dynamic Equity - Regular Plan - Annu
139870 INF247L01585 - MOSt Focused Dynamic Equity - Regular Plan - Gro
139871 INF247L01593 - MOSt Focused Dynamic Equity - Regular Plan - Quar
127044 INF247L01460 INF247L01452 MOSt Focused Midcap 30-Direct Plan-Dividend Opti
127042 INF247L01445 - MOSt Focused Midcap 30-Direct Plan-Growth Optio
127040 INF247L01437 INF247L01429 MOSt Focused Midcap 30-Regular Plan-Dividend Op
127039 INF247L01411 - MOSt Focused Midcap 30-Regular Plan-Growth Opti
129047 INF247L01528 INF247L01510 MOSt Focused Multicap 35- Direct Plan-Dividend Op
129046 INF247L01502 - MOSt Focused Multicap 35-Direct Plan-Growth Opti
129049 INF247L01494 INF247L01486 MOSt Focused Multicap 35-Regular Plan -Dividend
129048 INF247L01478 - MOSt Focused Multicap 35-Regular Plan-Growth Opt

PPFAS Mutual Fund

122639 INF879O01027 - Parag Parikh Long Term Value Fund - Direct Plan -
122640 INF879O01019 - Parag Parikh Long Term Value Fund - Regular Plan

PRINCIPAL Mutual Fund

139221 INF173K01NF7 - Principal Arbitrage Fund - Direct Plan - Growth


139219 INF173K01NC4 INF173K01NE0 Principal Arbitrage Fund - Direct Plan- Monthly Divi
139224 INF173K01NB6 - Principal Arbitrage Fund - Regular Plan - Growth
139222 INF173K01MY0 INF173K01NA8 Principal Arbitrage Fund - Regular Plan - Monthly Di
119438 INF173K01EV3 - Principal Dividend Yield Fund - Direct Plan - Growth
119437 INF173K01ES9 INF173K01ET7 Principal Dividend Yield Fund- Direct Plan - Half Yea
102808 INF173K01AD9 INF173K01AE7 Principal Dividend Yield Fund- Half Yearly Dividend
102807 INF173K01AC1 - Principal Dividend Yield Fund-Growth Plan
119441 INF173K01EG4 - Principal Emerging Bluechip Fund - Direct Plan - Gr
119440 INF173K01EI0 INF173K01EH2 Principal Emerging Bluechip Fund - Direct Plan - Hal
111381 INF173K01155 - Principal Emerging Bluechip Fund - Growth Option
111382 INF173K01163 INF173K01171 Principal Emerging Bluechip Fund - Half Yearly Divi
119470 INF173K01HC6 INF173K01HD4 Principal Equity Savings Fund - Direct Plan - Dividen
119472 INF173K01GZ9 - Principal Equity Savings Fund - Direct Plan - Growth
101498 INF173K01213 - Principal Equity Savings Fund - Growth Option
101499 INF173K01247 INF173K01254 Principal Equity Savings Fund - Half Yearly Dividend
101500 INF173K01262 INF173K01270 Principal Equity Savings Fund -Quaterly Dividend
119471 INF173K01HF9 INF173K01HG7 Principal Equity Savings Fund- Direct Plan - Dividen
119451 INF173K01FN7 INF173K01FO5 Principal Growth Fund - Direct Plan -Half Yearly Div
100966 INF173K01957 INF173K01965 Principal Growth Fund- Half Yearly Dividend Option
119452 INF173K01FQ0 - Principal Growth Fund-Direct Plan - Growth Option
100967 INF173K01940 - Principal Growth Fund-Growth Option
119488 INF173K01EZ4 - Principal Index Fund- Nifty - Direct Plan - Growth Op
119487 INF173K01EW1 INF173K01EX9 Principal Index Fund- Nifty- Direct Plan - Dividend O
100152 INF173K01AH0 INF173K01AI8 Principal Index Fund-Dividend
100153 INF173K01AG2 - Principal Index Fund-Growth
119464 INF173K01EK6 - Principal Large Cap Fund- Direct Plan - Growth Opti
119465 INF173K01EM2 INF173K01EL4 Principal Large Cap Fund- Direct Plan - Half Yearly
103335 INF173K01189 - Principal Large Cap Fund-Growth Option
103334 INF173K01197 INF173K01205 Principal Large Cap Fund-Half Yearly Dividend Opti
119482 INF173K01FI7 - Principal Smart Equity Fund - Direct Plan - Growth O
119483 INF173K01FF3 INF173K01FG1 Principal Smart Equity Fund - Direct Plan - Monthly
114301 INF173K01585 - Principal Smart Equity Fund - Growth Option
114302 INF173K01551 INF173K01569 Principal Smart Equity Fund - Monthly Dividend Opti

Quantum Mutual Fund

103491 INF082J01044 INF082J01051 Quantum Long Term Equity Fund - Direct Plan Divid
103490 INF082J01036 - Quantum Long Term Equity Fund - Direct Plan Grow
141069 INF082J01259 INF082J01267 Quantum Long Term Equity Fund - Regular Plan Div
141068 INF082J01242 - Quantum Long Term Equity Fund - Regular Plan Gro

Reliance Mutual Fund

118587 INF204K01YA8 INF204K01YB6 Reliance Arbitrage Advantage Fund - Direct Plan Di


118585 INF204K01XZ7 - Reliance Arbitrage Advantage Fund - Direct Plan Gr
113346 INF204K01IZ8 INF204K01JA9 Reliance Arbitrage Advantage Fund - Dividend Plan
113345 INF204K01IY1 - Reliance Arbitrage Advantage Fund - Growth Plan -
128821 INF204KA1MV7 INF204KA1MW5 Reliance Arbitrage Advantage Fund- Direct Plan- Mo
128820 INF204KA1MT1 INF204KA1MU9 Reliance Arbitrage Advantage Fund-Monthly dividen
118591 INF204K01XM5 INF204K01XN3 Reliance Banking Fund - Direct Plan Dividend Plan
118588 INF204K01D22 - Reliance Banking Fund - Direct Plan Growth Plan -
118589 INF204K01XO1 - Reliance Banking Fund - Direct Plan Growth Plan -
101864 INF204K01893 INF204K01901 Reliance Banking Fund-Dividend Plan-Dividend Opti
101863 INF204K01919 - Reliance Banking Fund-Growth Plan-Bonus Option
101862 INF204K01927 - Reliance Banking Fund-Growth Plan-Growth Option
118760 INF204K01I76 INF204K01I84 Reliance Diversified Power Sector Fund - Direct Pla
118762 INF204K01I68 - Reliance Diversified Power Sector Fund - Direct Pla
118763 INF204K01I92 - Reliance Diversified Power Sector Fund - Direct Pla
101264 INF204K01AB6 INF204K01AC4 Reliance Diversified Power Sector Fund-Dividend Pl
101262 INF204K01AE0 - Reliance Diversified Power Sector Fund-Growth Pla
101263 INF204K01AD2 - Reliance Diversified Power Sector Fund-Growth Pla
106252 INF204K01414 INF204K01422 Reliance Equity Opportunities Fund Institutional Div
106253 INF204K01448 - Reliance Equity Opportunities Fund Institutional P
101163 INF204K01455 INF204K01463 Reliance Equity Opportunities Fund-Dividend Plan
101162 INF204K01471 - Reliance Equity Opportunities Fund-Growth Plan-B
101161 INF204K01489 - Reliance Equity Opportunities Fund-Growth Plan-G
118652 INF204K01XD4 INF204K01XE2 Reliance Equity Opportunities Fund - Direct Plan Di
118651 INF204K01D55 - Reliance Equity Opportunities Fund - Direct Plan Gr
118650 INF204K01XF9 - Reliance Equity Opportunities Fund - Direct Plan Gr
134595 INF204KA1W85 - Reliance Equity Savings Fund- Direct Plan- Growth
134594 INF204KA1W77 - Reliance Equity Savings Fund- Direct Plan- Growth
134601 INF204KA1X19 INF204KA1X27 Reliance Equity Savings Fund- Direct Plan- Quarterl
134597 INF204KA1W93 INF204KA1X01 Reliance Equity Savings Fund- Direct Plan-Dividend
134599 INF204KA1X35 INF204KA1X43 Reliance Equity Savings Fund- Direct Plan-Monthly
134596 INF204KA1W10 INF204KA1W28 Reliance Equity Savings Fund- Dividend Plan
134602 INF204KA1W02 - Reliance Equity Savings Fund- Growth Plan- Bonus
134593 INF204KA1V94 - Reliance Equity Savings Fund- Growth Plan- Growth
134598 INF204KA1W51 INF204KA1W69 Reliance Equity Savings Fund- Monthly Dividend Pla
134600 INF204KA1W44 INF204KA1W36 Reliance Equity Savings Fund- Quarterly Dividend P
118640 INF204K01XJ1 INF204K01XK9 Reliance Focused Large Cap Fund - Direct Plan Div
118641 INF204K01D48 - Reliance Focused Large Cap Fund - Direct Plan Gro
118643 INF204K01XL7 - Reliance Focused Large Cap Fund - Direct Plan Gro
103749 INF204K01653 INF204K01661 Reliance Focused Large Cap Fund-Dividend Plan
103748 INF204K01679 - Reliance Focused Large Cap Fund-Growth Plan-Bon
103747 INF204K01687 - Reliance Focused Large Cap Fund-Growth Plan-Gro
118666 INF204K01E39 INF204K01E47 Reliance Growth Fund - Direct Plan Dividend Plan
118665 INF204K01E21 - Reliance Growth Fund - Direct Plan Growth Plan - B
118668 INF204K01E54 - Reliance Growth Fund - Direct Plan Growth Plan - G
106260 INF204K01257 INF204K01265 Reliance Growth Fund Institutional Plan Dividend Pl
100375 INF204K01299 INF204K01307 Reliance Growth Fund-Dividend Plan-(D)
100376 INF204K01315 - Reliance Growth Fund-Growth Plan-Bonus Option
100377 INF204K01323 - Reliance Growth Fund-Growth Plan-Growth Option
118742 INF204K01H02 - Reliance Index Fund - Nifty Plan - Direct Plan Growt
118741 INF204K01H36 - Reliance Index Fund - Nifty Plan - Direct Plan Growt
118745 INF204K01H44 INF204K01H51 Reliance Index Fund - Nifty Plan - Direct Plan Half Y
118740 INF204K01H69 INF204K01H77 Reliance Index Fund - Nifty Plan - Direct Plan Quarte
118743 INF204K01H10 INF204K01H28 Reliance Index Fund - Nifty Plan - Direct Plan Yearl
113297 INF204K01IF0 - Reliance Index Fund - Nifty Plan - Growth Plan - Bo
113296 INF204K01IE3 - Reliance Index Fund - Nifty Plan - Growth Plan - Gr
113298 INF204K01IG8 INF204K01IJ2 Reliance Index Fund - Nifty Plan - Quarterly Dividen
113300 INF204K01II4 INF204K01IL8 Reliance Index Fund - Nifty Plan- Annual Dividend P
113299 INF204K01IH6 INF204K01IK0 Reliance Index Fund - Nifty Plan- Half Yearly Divide
113295 INF204K01IQ7 INF204K01IT1 Reliance Index Fund - Sensex Plan - Annual Dividen
118786 INF204K01K64 INF204K01K72 Reliance Index Fund - Sensex Plan - Direct Plan - A
118788 INF204K01K98 INF204K01L06 Reliance Index Fund - Sensex Plan - Direct Plan - Ha
118790 INF204K01L14 INF204K01L22 Reliance Index Fund - Sensex Plan - Direct Plan - Qu
118785 INF204K01K56 - Reliance Index Fund - Sensex Plan - Direct Plan Gr
118791 INF204K01K80 - Reliance Index Fund - Sensex Plan - Direct Plan Gr
113270 INF204K01IN4 - Reliance Index Fund - Sensex Plan - Growth Plan -
113269 INF204K01IM6 - Reliance Index Fund - Sensex Plan - Growth Plan -
113294 INF204K01IP9 INF204K01IS3 Reliance Index Fund - Sensex Plan - Half Yearly Div
113271 INF204K01IO2 INF204K01IR5 Reliance Index Fund - Sensex Plan - Quarterly Divi
130864 INF204KA1SM3 - Reliance Japan Equity Fund- Direct Plan- Dividend P
130861 INF204KA1SK7 - Reliance Japan Equity Fund- Direct Plan- Growth Pl
130860 INF204KA1SI1 - Reliance Japan Equity Fund- Direct Plan- Growth Pl
130859 INF204KA1SL5 - Reliance Japan Equity Fund- Dividend Plan
130858 INF204KA1SJ9 - Reliance Japan Equity Fund- Growth Plan- Bonus Op
130863 INF204KA1SH3 - Reliance Japan Equity Fund- Growth Plan- Growth O
118725 INF204K01G37 INF204K01G45 Reliance Media & Entertainment Fund - Direct Plan
118722 INF204K01G29 - Reliance Media & Entertainment Fund - Direct Plan
118724 INF204K01G52 - Reliance Media & Entertainment Fund - Direct Plan
102753 INF204K01AN1 INF204K01AO9 Reliance Media & Entertainment Fund-Dividend Plan
102752 INF204K01AP6 - Reliance Media & Entertainment Fund-Growth Plan-
102751 INF204K01AQ4 - Reliance Media & Entertainment Fund-Growth Plan-
118693 INF204K01F79 INF204K01F87 Reliance Mid & Small Cap Fund - Direct Plan Divide
118692 INF204K01F95 - Reliance Mid & Small Cap Fund - Direct Plan Growth
104638 INF204K01GF4 INF204K01GG2 Reliance Mid & Small Cap Fund -Dividend Plan
104637 INF204K01GE7 - Reliance Mid & Small Cap Fund -Growth Plan -Grow
118738 INF204K01G78 INF204K01G86 Reliance NRI Equity Fund - Direct Plan Dividend Pla
118737 INF204K01G60 - Reliance NRI Equity Fund - Direct Plan Growth Plan
118736 INF204K01G94 - Reliance NRI Equity Fund - Direct Plan Growth Plan
102848 INF204K01570 INF204K01588 Reliance NRI Equity Fund-Dividend Plan
102847 INF204K01596 - Reliance NRI Equity Fund-Growth Plan-Bonus Optio
102846 INF204K01604 - Reliance NRI Equity Fund-Growth Plan-Growth Opti
118756 INF204K01I35 INF204K01I43 Reliance Pharma Fund - Direct Plan Dividend Plan
118758 INF204K01I27 - Reliance Pharma Fund - Direct Plan Growth Plan -
118759 INF204K01I50 - Reliance Pharma Fund - Direct Plan Growth Plan -
102433 INF204K01935 INF204K01943 Reliance Pharma Fund-Dividend Plan
102432 INF204K01950 - Reliance Pharma Fund-Growth Plan-Bonus Option
102431 INF204K01968 - Reliance Pharma Fund-Growth Plan-Growth Option
118767 INF204K01J18 INF204K01J26 Reliance Quant Plus Fund - Direct Plan Dividend Pla
118770 INF204K01J00 - Reliance Quant Plus Fund - Direct Plan Growth Plan
118769 INF204K01J34 - Reliance Quant Plus Fund - Direct Plan Growth Plan
108252 INF204K01745 INF204K01752 Reliance Quant Plus Fund -Dividend Plan
108249 INF204K01760 - Reliance Quant Plus Fund -Growth Plan - Growth Op
108258 INF204K01737 - Reliance Quant Plus Fund -Growth Plan -Bonus Opt
118782 INF204K01K23 INF204K01K31 Reliance Regular Savings Fund - Equity Option - Dir
118784 INF204K01K49 - Reliance Regular Savings Fund - Equity Option - Dir
103086 INF204K01GC1 INF204K01GD9 Reliance Regular Savings Fund-EQUITY OPTION-Di
103085 INF204K01GB3 - Reliance Regular Savings Fund-EQUITY OPTION-Gr
133568 INF204KA1B72 - Reliance Retirement Fund- Wealth Creation Scheme-
133566 INF204KA1C14 - Reliance Retirement Fund- Wealth Creation Scheme-
133630 INF204KA1B98 - Reliance Retirement Fund- Wealth Creation Scheme-
133567 INF204KA1C06 - Reliance Retirement Fund- Wealth Creation Scheme-
133565 INF204KA1B64 - Reliance Retirement Fund- Wealth Creation Scheme-
133631 INF204KA1B80 - Reliance Retirement Fund- Wealth Creation Scheme
118775 INF204K01J91 INF204K01K07 Reliance Small Cap Fund - Direct Plan Dividend Pla
118777 INF204K01J83 - Reliance Small Cap Fund - Direct Plan Growth Plan
118778 INF204K01K15 - Reliance Small Cap Fund - Direct Plan Growth Plan
113179 INF204K01IA1 INF204K01IB9 Reliance Small Cap Fund - Dividend Plan
113178 INF204K01HZ0 - Reliance Small Cap Fund - Growth Plan - Bonus Opt
113177 INF204K01HY3 - Reliance Small Cap Fund - Growth Plan - Growth Op
118634 INF204K01XG7 INF204K01XH5 Reliance Top 200 Fund - Direct Plan Dividend Plan
118633 INF204K01D30 - Reliance Top 200 Fund - Direct Plan Growth Plan -
118632 INF204K01XI3 - Reliance Top 200 Fund - Direct Plan Growth Plan -
106236 INF204K01539 INF204K01547 Reliance Top 200 Fund- Dividend Plan
106235 INF204K01562 - Reliance Top 200 Fund- Growth Plan -Growth Optio
106240 INF204K01554 - Reliance Top 200 Fund- Growth Plan Bonus Option
106238 INF204K01513 - Reliance Top 200 Fund-Institutional Plan Growth Pl
134925 INF204KA16G3 INF204KA17G1 Reliance US Equity Opportunites Fund- Direct Plan-
134923 INF204KA15G5 - Reliance US Equity Opportunites Fund- Direct Plan-
134924 INF204KA13G0 INF204KA14G8 Reliance US Equity Opportunites Fund- Dividend Pl
134922 INF204KA12G2 - Reliance US Equity Opportunites Fund- Growth Plan
118676 INF204K01F04 INF204K01F12 Reliance Vision Fund - Direct Plan Dividend Plan
118675 INF204K01E96 - Reliance Vision Fund - Direct Plan Growth Plan - Bo
118678 INF204K01F20 - Reliance Vision Fund - Direct Plan Growth Plan - Gr
106255 INF204K01331 INF204K01349 Reliance Vision Fund Institutional Dividend Plan
100378 INF204K01372 INF204K01380 Reliance Vision Fund-DIVIDEND PLAN-D
100379 INF204K01398 - Reliance Vision Fund-GROWTH PLAN-Bonus Optio
100380 INF204K01406 - Reliance Vision Fund-GROWTH PLAN-Growth Optio

Sahara Mutual Fund

120373 INF515L01AJ6 - SAHARA BANKING & FINANCIAL SERVICES FUND-


109493 INF515L01494 - SAHARA BANKING & FINANCIAL SERVICES FUN
120374 INF515L01AH0 INF515L01AI8 SAHARA BANKING & FINANCIAL SERVICES FUND-D
109494 INF515L01478 INF515L01486 SAHARA BANKING & FINANCIAL SERVICES FUND
101529 INF515L01155 INF515L01163 Sahara Growth Fund-Dividend
120288 INF515L01759 INF515L01767 Sahara Growth Fund-Dividend- Direct
101528 INF515L01171 - Sahara Growth Fund-Growth
120289 INF515L01775 - Sahara Growth Fund-Growth- Direct
120352 INF515L01924 INF515L01932 Sahara Infrastructure Fund ---FIXED PRICING -Direc
120353 INF515L01940 - Sahara Infrastructure Fund ---FIXED PRICING OPTI
103730 INF515L01320 INF515L01338 Sahara Infrastructure Fund ---FIXED PRICING OPTI
103731 INF515L01346 - Sahara Infrastructure Fund ---FIXED PRICING OPT
120354 INF515L01957 INF515L01965 Sahara Infrastructure Fund ---VARIABLE PRICING
120355 INF515L01973 - Sahara Infrastructure Fund ---VARIABLE PRICING
103732 INF515L01353 INF515L01361 Sahara Infrastructure Fund ---VARIABLE PRICING
103733 INF515L01379 - Sahara Infrastructure Fund ---VARIABLE PRICING
100798 INF515L01247 - Sahara Midcap Fund-Auto Payout
120295 INF515L01841 - Sahara Midcap Fund-Auto Payout- Direct
100799 INF515L01254 - Sahara Midcap Fund-Bonus
120296 INF515L01858 - Sahara Midcap Fund-Bonus- Direct
120298 INF515L01817 INF515L01825 Sahara Midcap Fund-Dividend -Direct
100797 INF515L01213 INF515L01221 Sahara Midcap Fund-Dividend Plan
120297 INF515L01833 - Sahara Midcap Fund-Growth Option - Direct
100796 INF515L01239 - Sahara Midcap Fund-Growth Plan
108320 INF515L01445 INF515L01452 Sahara Power & Natural Resources Fund - Dividend
120371 INF515L01AG2 - Sahara Power & Natural resources Fund- Growth - Di
108321 INF515L01460 - Sahara Power & Natural resources Fund- Growth Op
120370 INF515L01AE7 INF515L01AF4 Sahara Power & Natural Resources Fund-Dividend -
106744 INF515L01387 INF515L01395 Sahara R.E.A.L Fund - Dividend Option
120360 INF515L01981 INF515L01999 Sahara R.E.A.L Fund - Dividend Option- Direct
106745 INF515L01403 - Sahara R.E.A.L Fund - Growth Fund
120361 INF515L01AA5 - Sahara R.E.A.L Fund - Growth Fund- Direct
120387 INF515L01AS7 INF515L01AT5 Sahara Star Value Fund-Dividend - Direct
112104 INF515L01585 INF515L01593 Sahara Star Value Fund-Dividend Option
120386 INF515L01AU3 - Sahara Star Value Fund-Growth - Direct
112105 INF515L01601 - Sahara Star Value Fund-Growth Option
120383 INF515L01AP3 INF515L01AQ1 Sahara Super 20 Fund - Dividend - Direct
112036 INF515L01551 INF515L01569 Sahara Super 20 Fund - Dividend Option
120382 INF515L01AR9 - Sahara Super 20 Fund - Growth - Direct
112037 INF515L01577 - Sahara Super 20 Fund - Growth Option
120341 INF515L01866 INF515L01874 Sahara Wealth Plus Fund-Fixed Pricing Option-Direc
120340 INF515L01882 - Sahara Wealth Plus Fund-Fixed Pricing Option-Direc
103119 INF515L01262 INF515L01270 Sahara Wealth Plus Fund-Fixed Pricing Option-Divi
103120 INF515L01288 - Sahara Wealth Plus Fund-Fixed Pricing Option-Grow
120344 INF515L01890 INF515L01908 Sahara Wealth Plus Fund-Variable Pricing Option-Dir
120345 INF515L01916 - Sahara Wealth Plus Fund-Variable Pricing Option-Di
103121 INF515L01296 INF515L01304 Sahara Wealth Plus Fund-Variable Pricing Option-Di
103122 INF515L01312 - Sahara Wealth Plus Fund-Variable Pricing Option-G

SBI Mutual Fund

119567 INF200K01QS4 INF200K01QT2 SBI Arbitrage Opportunities Fund - Direct Plan - DI


104458 INF200K01131 INF200K01149 SBI Arbitrage Opportunities Fund - Regular Plan - Di
119574 INF200K01QU0 - SBI Arbitrage Opportunities Fund - Direct Plan - Gr
104457 INF200K01156 - SBI Arbitrage Opportunities Fund - Regular Plan - Gr
133857 INF200KA1515 INF200KA1523 SBI BANKING & FINANCIAL SERVICES FUND - DI
133859 INF200KA1507 - SBI BANKING & FINANCIAL SERVICES FUND - D
133860 INF200KA1481 INF200KA1499 SBI BANKING & FINANCIAL SERVICES FUND - R
133858 INF200KA1473 - SBI BANKING & FINANCIAL SERVICES FUND -
119585 INF200K01QV8 INF200K01QW6 SBI BLUE CHIP FUND - DIRECT PLAN - DIVIDEND
103616 INF200K01164 INF200K01172 SBI BLUE CHIP FUND- REGULAR PLAN - DIVIDE
119598 INF200K01QX4 - SBI BLUE CHIP FUND-DIRECT PLAN -GROWTH
103504 INF200K01180 - SBI BLUE CHIP FUND-REGULAR PLAN GROWTH
119724 INF200K01QY2 INF200K01QZ9 SBI CONTRA-DIRECT PLAN -DIVIDEND
100915 INF200K01347 INF200K01354 SBI CONTRA-REGULAR PLAN -DIVIDEND
119835 INF200K01RA0 - SBI CONTRA - DIRECT PLAN - GROWTH
102414 INF200K01362 - SBI CONTRA - REGULAR PLAN -GROWTH
134111 INF200KA1689 INF200KA1697 SBI Dynamic Asset Allocation Fund - Direct Plan - D
134110 INF200KA1671 - SBI Dynamic Asset Allocation Fund - Direct Plan - G
134108 INF200KA1655 INF200KA1663 SBI Dynamic Asset Allocation Fund - Regular Plan -
134109 INF200KA1648 - SBI Dynamic Asset Allocation Fund - Regular Plan -
119834 INF200K01RH5 INF200K01RI3 SBI EMERGING BUSINESSES FUND - DIRECT PLA
102765 INF200K01388 INF200K01396 SBI EMERGING BUSINESSES FUND - REGULAR P
119727 INF200K01RJ1 - SBI EMERGING BUSINESSES FUND - DIRECT P
102756 INF200K01370 - SBI EMERGING BUSINESSES FUND - REGULAR
134643 INF200KA1DF3 - SBI Equity Savings Fund - Direct Plan - Growth
134641 INF200KA1DG1 INF200KA1DH9 SBI Equity Savings Fund - Direct Plan - Monthly Div
134640 INF200KA1DI7 INF200KA1DJ5 SBI Equity Savings Fund - Direct Plan - Quarterly Di
134644 INF200KA1DA4 - SBI Equity Savings Fund - Regular Plan - Growth
134639 INF200KA1DB2 INF200KA1DC0 SBI Equity Savings Fund - Regular Plan - Monthly D
134642 INF200KA1DD8 INF200KA1DE6 SBI Equity Savings Fund - Regular Plan - Quarterly
119730 INF200K01RK9 INF200K01RL7 SBI FMCG FUND - DIRECT PLAN - DIVIDEND
120575 INF200K01RM5 - SBI FMCG FUND - DIRECT PLAN - GROWTH
120576 INF200K01VR6 - SBI FMCG FUND - REGULAR - GROWTH
100645 INF200K01404 INF200K01412 SBI FMCG FUND - REGULAR PLAN - DIVIDEND
119695 INF200K01RQ6 INF200K01RR4 SBI INFRASTRUCTURE FUND - DIRECT PLAN - D
106095 INF200K01CU0 INF200K01CV8 SBI INFRASTRUCTURE FUND - REGULAR PLAN - D
119700 INF200K01RS2 - SBI INFRASTRUCTURE FUND - SERIES I - DIRE
106096 INF200K01CT2 - SBI INFRASTRUCTURE FUND - SERIES I - REGUL
119731 INF200K01RT0 INF200K01RU8 SBI IT FUND - DIRECT PLAN - DIVIDEND
120578 INF200K01RV6 - SBI IT FUND - DIRECT PLAN - GROWTH
100643 INF200K01420 INF200K01438 SBI IT FUND - REGULAR PLAN - DIVIDEND
120577 INF200K01VS4 - SBI IT FUND - REGULAR PLAN - GROWTH
119613 INF200K01RZ7 INF200K01SA8 SBI Magnum COMMA Fund - DIRECT PLAN - Divid
103146 INF200K01313 INF200K01321 SBI Magnum COMMA Fund - REGULAR PLAN - Div
119705 INF200K01SB6 - SBI Magnum COMMA Fund - DIRECT PLAN - Growt
103145 INF200K01339 - SBI Magnum COMMA Fund - REGULAR PLAN - Gro
119708 INF200K01SC4 INF200K01SD2 SBI Magnum Equity Fund - DIRECT PLAN -Dividend
119709 INF200K01SE0 - SBI Magnum Equity Fund - DIRECT PLAN -GROWT
101295 INF200K01198 INF200K01206 SBI Magnum Equity Fund - REGULAR PLAN - Divid
104523 INF200K01214 - SBI Magnum Equity Fund- REGULAR PLAN - Growt
119710 INF200K01SL5 INF200K01SM3 SBI MAGNUM GLOBAL FUND - DIRECT PLAN - DI
103114 INF200K01255 INF200K01263 SBI MAGNUM GLOBAL FUND - REGULAR PLAN -
119711 INF200K01SN1 - SBI MAGNUM GLOBAL FUND - DIRECT PLAN -G
103034 INF200K01271 - SBI MAGNUM GLOBAL FUND - REGULAR PLAN
119715 INF200K01TN9 INF200K01TO7 SBI Magnum MIDCAP FUND - DIRECT PLAN -DIV
102942 INF200K01578 INF200K01586 SBI Magnum MIDCAP FUND - REGULAR PLAN -DI
119716 INF200K01TP4 - SBI Magnum MIDCAP FUND - DIRECT PLAN - G
102941 INF200K01560 - SBI Magnum MIDCAP FUND - REGULAR PLAN -
119717 INF200K01UE6 INF200K01UF3 SBI Magnum Multicap Fund - DIRECT PLAN -Divide
103216 INF200K01230 INF200K01248 SBI Magnum Multicap Fund - REGULAR PLAN -Divi
119718 INF200K01UG1 - SBI Magnum Multicap Fund - DIRECT PLAN - Growt
103215 INF200K01222 - SBI Magnum Multicap Fund - REGULAR PLAN -Grow
101530 INF200K01289 INF200K01297 SBI Magnum Multiplier Fund - REGULAR PLAN -Div
119720 INF200K01UH9 INF200K01UI7 SBI Magnum Multiplier Fund -DIRECT PLAN -Divide
103024 INF200K01305 - SBI Magnum Multiplier Fund - REGULAR PLAN -Gr
119721 INF200K01UJ5 - SBI Magnum Multiplier Fund -DIRECT PLAN -Growt
119827 INF200K01TE8 - SBI NIFTY INDEX FUND - DIRECT PLAN - GROWT
102272 INF200K01537 - SBI NIFTY INDEX FUND - REGULAR PLAN - GRO
119826 INF200K01TC2 INF200K01TD0 SBI NIFTY INDEX FUND - DIRECT PLAN - DIVIDE
102273 INF200K01545 INF200K01552 SBI NIFTY INDEX FUND- REGULAR PLAN - DIVID
119782 INF200K01UN7 INF200K01UO5 SBI PHARMA - DIRECT PLAN -DIVIDEND
100644 INF200K01453 INF200K01461 SBI PHARMA - REGULAR PLAN - DIVIDEND
119783 INF200K01UP2 - SBI PHARMA - DIRECT PLAN -GROWTH
102823 INF200K01446 - SBI PHARMA - REGULAR PLAN -GROWTH
119733 INF200K01UW8 INF200K01UX6 SBI PSU Fund - DIRECT PLAN - DIVIDEND
119732 INF200K01UY4 - SBI PSU Fund - DIRECT PLAN - GROWTH
112923 INF200K01BD8 INF200K01BE6 SBI PSU Fund - REGULAR PLAN -Dividend
113099 INF200K01BC0 - SBI PSU Fund - REGULAR PLAN -Growth
125494 INF200K01T28 - SBI Smal & Midcap - Regular Plan - Growth
125496 INF200K01T69 INF200K01T77 SBI Small & Midcap - Direct Plan - Dividend
125497 INF200K01T51 - SBI Small & Midcap - Direct Plan - Growth
125495 INF200K01T36 INF200K01T44 SBI Small & Midcap - Regular Plan - Dividend
102208 INF200K01511 INF200K01529 SBI MAGNUM NRI FLEXIASSET PLAN-DIVIDEND
102207 INF200K01503 - SBI MAGNUM NRI FLEXIASSET PLAN-GROWTH
104763 INF200K01CX4 INF200K01CY2 SBI ONE INDIA FUND - DIVIDEND (PREVIOUSLY
104762 INF200K01CW6 - SBI ONE INDIA FUND - GROWTH (PREVIOUSLY C

Shriram Mutual Fund

125711 INF680P01042 - Shriram Equity and Debt Opportunities Fund


125712 INF680P01059 INF680P01067 Shriram Equity and Debt Opportunities Fund- (Direct
125714 INF680P01026 INF680P01034 Shriram Equity and Debt Opportunities Fund- Divide
125713 INF680P01018 - Shriram Equity and Debt Opportunities Fund-Growth
Sundaram Mutual Fund

112295 INF903J01892 INF903J01900 Sundaram PSU Opportunities Dividend Option


112294 INF903J01884 - Sundaram PSU Opportunities Growth Option
119587 INF903J01NC6 INF903J01ND4 Sundaram Select Thematic Funds PSU Opportunities -
119586 INF903J01NE2 - Sundaram Select Thematic Funds PSU Opportunities
119600 INF903J01MW6 INF903J01MX4 Sundaram Entertainment Opportunities Fund - Direct
109132 INF903J01694 INF903J01702 Sundaram Entertainment Opportunities Fund - Inst
109130 INF903J01710 - Sundaram Entertainment Opportunities Fund - Inst
109131 INF903J01660 INF903J01678 Sundaram Entertainment Opportunities Fund - Regul
109129 INF903J01686 - Sundaram Entertainment Opportunities Fund - Regu
119599 INF903J01MY2 - Sundaram Entertainment Opportunities Fund -Direct
119565 INF903J01PP3 INF903J01PQ1 Sundaram Equity Multiplier - Direct Plan - Dividend
119566 INF903J01PR9 - Sundaram Equity Multiplier - Direct Plan - Growth Op
105000 INF903J01DU9 INF903J01DV7 Sundaram Equity Multiplier Fund Dividend
105001 INF903J01DT1 - Sundaram Equity Multiplier Fund Growth
119573 INF903J01NO1 INF903J01NP8 Sundaram Equity plus - Direct Plan - Dividend Optio
119572 INF903J01NQ6 - Sundaram Equity plus - Direct Plan - Growth Option
115242 INF903J01CL0 INF903J01CM8 Sundaram Equity Plus- Dividend Option
115241 INF903J01CK2 - Sundaram Equity Plus- Growth Option
119596 INF903J01MZ9 INF903J01NA0 Sundaram Financial Services Opportunities Fund - Di
119597 INF903J01NB8 - Sundaram Financial Services Opportunities Fund - Di
109060 INF903J01637 INF903J01645 Sundaram Financial Services Opportunities Fund Ins
109061 INF903J01652 - Sundaram Financial Services Opportunities Fund Ins
109058 INF903J01603 INF903J01611 Sundaram Financial Services Opportunities Fund Re
109059 INF903J01629 - Sundaram Financial Services Opportunities Fund R
119593 INF903J01MQ8 INF903J01MR6 Sundaram Growth Fund - Direct Plan - Dividend Opt
119592 INF903J01MS4 - Sundaram Growth Fund - Direct Plan - Growth Optio
112063 INF903J01363 INF903J01371 Sundaram Growth Fund- Inst Dividend
100612 INF903J01330 INF903J01348 Sundaram Growth Fund-Dividend
100613 INF903J01355 - Sundaram Growth Fund-Growth
129212 INF903J01F92 - Sundaram Infrastructure Advantage Fund (Erstwhile
129213 INF903J01F68 - Sundaram Infrastructure Advantage Fund (Erstwhile
129211 INF903J01G00 INF903J01G18 Sundaram Infrastructure Advantage Fund (Merger of
129210 INF903J01F76 INF903J01F84 Sundaram Infrastructure Advantage Fund (Merger of
103743 INF903J01546 INF903J01553 Sundaram Rural India Fund Dividend
113373 INF903J01579 INF903J01587 Sundaram Rural India Fund Inst Dividend
119594 INF903J01NF9 INF903J01NG7 Sundaram Select Thematic Funds Rural India Fund -
102142 INF903J01561 - Sundaram Rural India Fund Growth
119595 INF903J01NH5 - Sundaram Select Thematic Funds Rural India Fund -
119588 INF903J01NI3 INF903J01NJ1 Sundaram S.M.I.L.E Fund - Direct Plan - Dividend O
119589 INF903J01NK9 - Sundaram S.M.I.L.E Fund - Direct Plan - Growth Opt
100794 INF903J01454 INF903J01462 Sundaram S.M.I.L.E.Fund-Dividend
100795 INF903J01470 - Sundaram S.M.I.L.E.Fund-Growth
112207 INF903J01488 INF903J01496 Sundaram S.M.I.L.E.Fund-Inst Dividend
112064 INF903J01504 - Sundaram S.M.I.L.E.Fund-iNST Growth
119577 INF903J01MT2 INF903J01MU0 Sundaram Select Focus - Direct Plan - Dividend Opt
119578 INF903J01MV8 - Sundaram Select Focus - Direct Plan - Growth Optio
101536 INF903J01124 INF903J01132 Sundaram Select Focus-Dividend
101537 INF903J01116 - Sundaram Select Focus-Growth
103953 INF903J01157 INF903J01165 Sundaram Select Focus-Inst Dividend
108305 INF903J01140 - Sundaram Select Focus-Inst Growth
119582 INF903J01MH7 INF903J01MI5 Sundaram Select Mid Cap - Direct Plan - Dividend O
119581 INF903J01MJ3 - Sundaram Select Mid Cap - Direct Plan - Growth Opt
101538 INF903J01181 INF903J01199 Sundaram Select Midcap-Dividend
101539 INF903J01173 - Sundaram Select Midcap-Growth
111942 INF903J01215 INF903J01223 Sundaram Select Midcap-Institutional Dividend
111941 INF903J01207 - Sundaram Select Midcap-Institutional Growth
140448 INF903JA1674 - Sundaram Smart Nifty 100 Equal Weight Fund - Direc
140449 - INF903JA1682 Sundaram Smart Nifty 100 Equal Weight Fund - Direc
140453 INF903JA1666 - Sundaram Smart Nifty 100 Equal Weight Fund - Direc
140451 INF903JA1641 - Sundaram Smart Nifty 100 Equal Weight Fund - Regu
140450 - INF903JA1658 Sundaram Smart Nifty 100 Equal Weight Fund - Regu
140452 INF903JA1633 - Sundaram Smart Nifty 100 Equal Weight Fund - Regu

Tata Mutual Fund

135789 INF277K01Z28 - Tata Banking And Financial Services Fund-Direct Pl


135792 - INF277K01Z36 Tata Banking And Financial Services Fund-Direct P
135793 INF277K01Z10 - Tata Banking And Financial Services Fund-Direct Pl
135790 INF277K01Y94 - Tata Banking And Financial Services Fund-Regular
135791 - INF277K01Z02 Tata Banking And Financial Services Fund-Regular
135794 INF277K01Y86 - Tata Banking And Financial Services Fund-Regular
135795 INF277K01Z85 - Tata Digital India Fund-Direct Plan-Dividend Payout
135798 - INF277K01Z93 Tata Digital India Fund-Direct Plan-Dividend Reinve
135800 INF277K01Z77 - Tata Digital India Fund-Direct Plan-Growth
135796 INF277K01Z51 - Tata Digital India Fund-Regular Plan-Dividend Payou
135799 - INF277K01Z69 Tata Digital India Fund-Regular Plan-Dividend Rein
135797 INF277K01Z44 - Tata Digital India Fund-Regular Plan-Growth
102858 INF277K01DD2 INF277K01337 Tata Dividend Yield Fund Regular Plan -( Div)
102859 INF277K01345 - Tata Dividend Yield Fund Regular Plan
119235 INF277K01MQ5 INF277K01MR3 Tata Dividend Yield Fund-Direct Plan Dividend
119234 INF277K01MS1 - Tata Dividend Yield Fund-Direct Plan Growth
119201 INF277K01MI2 INF277K01MJ0 Tata Equity Opportunities Fund -Direct Plan Dividen
119202 INF277K01MK8 - Tata Equity Opportunities Fund -Direct Plan Growth
101823 INF277K01DH3 INF277K01410 Tata Equity Opportunities Fund Regular Plan - Divid
101824 INF277K01428 - Tata Equity Opportunities Fund Regular Plan - Grow
119232 INF277K01MZ6 INF277K01NA7 Tata Equity P/E Fund -Direct Plan Dividend Trigger
119233 INF277K01NB5 INF277K01NC3 Tata Equity P/E Fund -Direct Plan Dividend Trigger
119231 INF277K01ND1 - Tata Equity P/E Fund -Direct Plan Growth
101672 INF277K01451 - Tata Equity P/E Fund Regular Plan -(Growth Option)
112218 INF277K01DI1 INF277K01436 Tata Equity P/E Fund Regular Plan (Dividend Trigger
102428 INF277K01DJ9 INF277K01444 Tata Equity P/E Fund Regular Plan (Dividend Trigge
119171 INF277K01NE9 INF277K01NF6 Tata Ethical Fund -Direct Plan Dividend
119172 INF277K01NG4 - Tata Ethical Fund -Direct Plan Growth
101833 INF277K01EH1 INF277K01949 Tata Ethical Fund Regular Plan - Dividend
100415 INF277K01956 - Tata Ethical Fund Regular Plan - Growth
119288 INF277K01PJ3 - Tata Index Fund - Nifty-Direct Plan Nifty
119287 INF277K01PK1 - Tata Index Fund - Sensex Direct Plan Sensex
101746 INF277K01758 - Tata Index Fund - Sensex-Regular Plan
101659 INF277K01741 - Tata Index Fund - Nifty-Regular Plan
135806 INF277K014A4 - Tata India Consumer Fund-Direct Plan-Dividend Pay
135801 - INF277K015A1 Tata India Consumer Fund-Direct Plan-Dividend Rei
135805 INF277K013A6 - Tata India Consumer Fund-Direct Plan-Growth
135802 INF277K011A0 - Tata India Consumer Fund-Regular Plan-Dividend P
135803 - INF277K012A8 Tata India Consumer Fund-Regular Plan-Dividend R
135804 INF277K010A2 - Tata India Consumer Fund-Regular Plan-Growth
135807 INF277K010B0 - Tata India Pharma & Healthcare Fund-Direct Plan-D
135808 - INF277K011B8 Tata India Pharma & Healthcare Fund-Direct Plan-D
135810 INF277K019A3 - Tata India Pharma & Healthcare Fund-Direct Plan-G
135809 INF277K017A7 - Tata India Pharma & Healthcare Fund-Regular Plan-
135811 - INF277K018A5 Tata India Pharma & Healthcare Fund-Regular Plan
135812 INF277K016A9 - Tata India Pharma & Healthcare Fund-Regular Plan
119244 INF277K01PO3 INF277K01PP0 Tata Infrastructure Fund -Direct Plan Dividend
119243 INF277K01PQ8 - Tata Infrastructure Fund -Direct Plan Growth
101852 INF277K01DY8 INF277K01774 Tata Infrastructure Fund-Regular Plan - Dividend
101766 INF277K01782 - Tata Infrastructure Fund-Regular Plan- Growth
119159 INF277K01QX2 INF277K01QY0 Tata Large Cap Fund -Direct Plan Dividend
119160 INF277K01QZ7 - Tata Large Cap Fund -Direct Plan Growth
100475 INF277K01931 - Tata Large Cap Fund Regular Plan - Growth
102036 INF277K01EG3 INF277K01923 Tata Large Cap Fund -Regular Plan - Dividend Optio
119182 INF277K01PV8 - Tata Mid Cap Growth Fund - Direct Plan Bonus(Grow
119177 INF277K01PW6 INF277K01PX4 Tata Mid Cap Growth Fund - Direct Plan Dividend
119178 INF277K01PY2 - Tata Mid Cap Growth Fund - Direct Plan Growth
102326 INF277K01DS0 INF277K01642 Tata Mid Cap Growth Fund-Regular Plan - Dividend
102328 INF277K01626 - Tata Mid Cap Growth Fund Regular Plan- Growth
102329 INF277K01634 - Tata Mid Cap Growth Fund Regular Plan - Bonus (G
101609 INF277K01EE8 INF277K01899 Tata Regular Savngs Equity Fund - RegularPlan- Mo
102118 INF277K01EF5 INF277K01915 Tata Regular Savings Equity Fund - Regular Plan-Pe
119958 INF277K01QI3 INF277K01QJ1 Tata Regular Savings Equity Fund- Direct Plan -Mon
119959 INF277K01QK9 INF277K01QL7 Tata Regular Savings Equity Fund- Direct Plan -Peri
119960 INF277K01QH5 - Tata Regular Savings Equity Fund- Direct Plan- Gro
101906 INF277K01907 - Tata Regular Savings Equity Fund -Regular Plan-Gr
135817 INF277K016B7 - Tata Resources & Energy Fund-Direct Plan-Dividen
135816 - INF277K017B5 Tata Resources & Energy Fund-Direct Plan-Dividen
135813 INF277K015B9 - Tata Resources & Energy Fund-Direct Plan-Growth
135814 INF277K013B4 - Tata Resources & Energy Fund-Regular Plan-Divide
135818 - INF277K014B2 Tata Resources & Energy Fund-Regular Plan-Divide
135815 INF277K012B6 - Tata Resources & Energy Fund-Regular Plan-Growt
115942 INF277K01FG0 - Tata Retirement Savings Fund -Regular Plan -Progr
115943 INF277K01FH8 - Tata Retirement Savings Fund Moderate -Regular Pl
119255 INF277K01QN3 - Tata Retirement Savings Fund Moderate -Direct Pla
119251 INF277K01QO1 - Tata Retirement Savings Fund-Direct Plan Growth

Taurus Mutual Fund

117313 INF044D01BJ2 INF044D01BK0 Taurus Banking & Financial Services Fund - Dividen
117312 INF044D01BI4 - Taurus Banking & Financial Services Fund - Growth
118869 INF044D01CO0 INF044D01CP7 Taurus Banking & Financial Services Fund-Direct Pl
118868 INF044D01CN2 - Taurus Banking & Financial Services Fund-Direct Pl
118871 INF044D01BY1 INF044D01BZ8 Taurus Bonanza Fund-Direct Plan-Dividend Option
118870 INF044D01BX3 - Taurus Bonanza Fund-Direct Plan-Growth Option
108403 INF044D01740 INF044D01757 Taurus Bonanza Fund-Dividend Option
101209 INF044D01773 - Taurus Bonanza Fund-Growth Option
111642 INF044D01781 INF044D01799 Taurus Discovery Fund - Divided Option
100477 INF044D01815 - Taurus Discovery Fund - Growth Option
118873 INF044D01CB7 INF044D01CC5 Taurus Discovery Fund-Direct Plan-Dividend Option
118872 INF044D01CA9 - Taurus Discovery Fund-Direct Plan-Growth Option
111903 INF044D01823 - Taurus Ethical Fund - Bonus Option
111788 INF044D01831 INF044D01849 Taurus Ethical Fund - Dividend Option
111787 INF044D01864 - Taurus Ethical Fund - Growth Option
118878 INF044D01CM4 - Taurus Ethical Fund-Direct Plan-Bonus Option
118877 INF044D01CK8 INF044D01CL6 Taurus Ethical Fund-Direct Plan-Dividend Option
118876 INF044D01CJ0 - Taurus Ethical Fund-Direct Plan-Growth Option
105418 INF044D01872 INF044D01880 Taurus Infrastructure Fund -Dividend Option
105417 INF044D01906 - Taurus Infrastructure Fund -Growth Option
118880 INF044D01CE1 INF044D01CF8 Taurus Infrastructure Fund-Direct Plan-Dividend Opt
118879 INF044D01CD3 - Taurus Infrastructure Fund-Direct Plan-Growth Optio
112949 INF044D01914 INF044D01922 Taurus Nifty Index Fund - Dividend Option
112948 INF044D01948 - Taurus Nifty Index Fund - Growth Option
118882 INF044D01CR3 INF044D01CS1 Taurus Nifty Index Fund-Direct Plan-Dividend Option
118881 INF044D01CQ5 - Taurus Nifty Index Fund-Direct Plan-Growth Option
111640 INF044D01955 INF044D01963 Taurus Starshare Dividend Option
100476 INF044D01989 - Taurus Starshare Growth Option
118884 INF044D01BV7 INF044D01BW5 Taurus Starshare-Direct Plan-Dividend Option
118883 INF044D01BU9 - Taurus Starshare-Direct Plan-Growth Option

Union Mutual Fund

119293 INF582M01658 INF582M01641 Union Equity Fund - Direct Plan - Dividend Option
119292 INF582M01633 - Union Equity Fund - Direct Plan - Growth Option
115290 INF582M01120 INF582M01112 Union Equity Fund - Dividend Option
115270 INF582M01104 - Union Equity Fund - Growth Option
141249 INF582M01CV5 INF582M01CW3 Union Focussed Largecap Fund - Direct Plan - Divid
141248 INF582M01CU7 - Union Focussed Largecap Fund - Direct Plan - Grow
141250 INF582M01CR3 INF582M01CS1 Union Focussed Largecap Fund - Regular Plan - Div
141247 INF582M01CQ5 - Union Focussed Largecap Fund - Regular Plan - Gro
129646 INF582M01BW5 INF582M01BV7 Union Small and Midcap Fund - Direct Plan - Divide
129649 INF582M01BU9 - Union Small and Midcap Fund - Direct Plan - Growth
129648 INF582M01CA9 INF582M01BZ8 Union Small and Midcap Fund - Regular Plan - Divid
129647 INF582M01BY1 - Union Small and Midcap Fund - Regular Plan - Grow

UTI Mutual Fund

100669 INF789F01513 - UTI - Equity Fund-Growth Option


120662 INF789F01TC4 - UTI - Equity Fund-Growth Option - Direct
100668 INF189A01053 INF789F01505 UTI - Equity Fund-Income Option
120663 INF789F01TA8 INF789F01TB6 UTI - Equity Fund-Income Option - Direct
100712 - - UTI - INDEX SELECT FUND-Growth Option
100711 - - UTI - INDEX SELECT FUND-Income Option
100651 INF789F01976 - UTI - Master Share-Growth Option
120656 INF789F01US8 - UTI - Master Share-Growth Option - Direct
100650 INF189A01038 INF789F01950 UTI - Master Share-Income Option
120657 INF789F01UQ2 INF789F01UR0 UTI - Master Share-Income Option - Direct
100740 INF789F01844 - UTI - MNC Fund (UGS 10000)-Growth Option
120682 INF789F01UD0 - UTI - MNC Fund (UGS 10000)-Growth Option - Direc
100739 INF789F01828 INF789F01836 UTI - MNC Fund (UGS 10000)-Income Option
120681 INF789F01UB4 INF789F01UC2 UTI - MNC Fund (UGS 10000)-Income Option- Direc
100822 INF789F01JN2 - UTI - NIFTY Index Fund-Growth Option
120716 INF789F01XA0 - UTI - NIFTY Index Fund-Growth Option- Direct
100823 INF789F01JL6 INF789F01JM4 UTI - NIFTY Index Fund-Income Option
120717 INF789F01WY2 INF789F01WZ9 UTI - NIFTY Index Fund-Income Option- Direct
100664 INF789F01869 - UTI - TOP 100 Fund- Growth Option
120665 INF789F01UG3 - UTI - TOP 100 Fund- Growth Option - Direct
100663 INF189A01046 INF789F01851 UTI - TOP 100 Fund-Income Option
120664 INF789F01UE8 INF789F01UF5 UTI - TOP 100 Fund-Income Option - Direct
111602 INF789F01AN1 INF789F01AO9 UTI - Wealth Builder Fund - Dividend Option
120761 INF789F01VC0 INF789F01VD8 UTI - Wealth Builder Fund - Dividend Option-Direct
111599 INF789F01AP6 - UTI - Wealth Builder Fund - Growth Option
120760 INF789F01VE6 - UTI - Wealth Builder Fund - Growth Option-Direct
102401 INF789F01372 - UTI Banking Sector Fund-Growth Option
120733 INF789F01SN3 - UTI Banking Sector Fund-Growth Option- Direct
102402 INF789F01356 INF789F01364 UTI Banking Sector Fund-Income Option
120732 INF789F01SL7 INF789F01SM5 UTI Banking Sector Fund-Income Option-Direct
120756 INF789F01TV4 INF789F01TW2 UTI Bluechip Flexicap Fund - Direct Plan - Dividend
120757 INF789F01TX0 - UTI Bluechip Flexicap Fund - Direct Plan - Growth O
103455 INF789F01760 INF789F01778 UTI Bluechip Flexicap Fund - Regular Plan - Dividen
103457 INF789F01786 - UTI Bluechip Flexicap Fund - Regular Plan - Growth
102267 - - UTI CCP Advantage Fund - Growth
120724 - - UTI CCP Advantage Fund - Growth- Direct
102266 - - UTI CCP Advantage Fund - Income
120725 - - UTI CCP Advantage Fund - Income- Direct
100805 INF789F01497 - UTI Energy Fund-Growth Option
120770 INF789F01SZ7 - UTI Energy Fund-Growth Option-Direct
100804 INF789F01471 INF789F01489 UTI Energy Fund-Income Option
120769 INF789F01SX2 INF789F01SY0 UTI Energy Fund-Income Option-Direct
100807 INF789F01695 - UTI Pharma & Healthcare Fund-Growth Option
120782 INF789F01TO9 - UTI Pharma & Healthcare Fund-Growth Option- Dire
100806 INF789F01679 INF789F01687 UTI Pharma & Healthcare Fund-Income Option
120783 INF789F01TM3 INF789F01TN1 UTI Pharma & Healthcare Fund-Income Option-Direc
102395 INF789F01752 - UTI Infrastructure Fund-Growth Option
120728 INF789F01TU6 - UTI Infrastructure Fund-Growth Option- Direct
102396 INF789F01737 INF789F01745 UTI Infrastructure Fund-Income Option
120729 INF789F01TS0 INF789F01TT8 UTI Infrastructure Fund-Income Option- Direct
102394 INF789F01810 - UTI Mid Cap Fund-Growth Option
120726 INF789F01UA6 - UTI Mid Cap Fund-Growth Option- Direct
102393 INF789F01794 INF789F01802 UTI Mid Cap Fund-Income Option
120727 INF789F01TY8 INF789F01TZ5 UTI Mid Cap Fund-Income Option- Direct
131161 INF789FA1XV4 INF789FA1XW2 UTI Multi Cap Fund - Dividend Option
131162 INF789FA1XS0 INF789FA1XT8 UTI Multi Cap Fund - Dividend Option - Direct
131163 INF789FA1XX0 - UTI Multi Cap Fund - Growth Option
131164 INF789FA1XU6 - UTI Multi Cap Fund - Growth Option - Direct
103097 INF789F01AE0 INF789F01AF7 UTI Opportunities Fund-Dividend Option
120752 INF789F01UZ3 INF789F01VA4 UTI Opportunities Fund-Dividend Option-Direct
103098 INF789F01AG5 - UTI Opportunities Fund-Growth Option
120751 INF789F01VB2 - UTI Opportunities Fund-Growth Option-Direct
104074 INF789FB1RH4 INF789FB1RI2 UTI Spread Fund - Dividend Option
120796 INF789FB1RE1 INF789FB1RF8 UTI Spread Fund - Dividend Option- Direct
104075 INF789FB1RJ0 - UTI Spread Fund - Growth Option
120795 INF789FB1RG6 - UTI Spread Fund - Growth Option- Direct
103026 INF789F01463 - UTI-Dividend Yield Fund.-Growth
120749 INF789F01SW4 - UTI-Dividend Yield Fund.-Growth-Direct
103025 INF789F01448 INF789F01455 UTI-Dividend Yield Fund.-Income
120750 INF789F01SU8 INF789F01SV6 UTI-Dividend Yield Fund.-Income-Direct
102397 INF789F01273 INF789F01281 UTI-Transportation and Logistics Fund-Income Optio
120730 INF789F01SF9 INF789F01SG7 UTI-Transportation and Logistics Fund-Income Option
102398 INF789F01299 - UTI-Transpotation and Logistics Fund-Growth Optio
120731 INF789F01SH5 - UTI-Transpotation and Logistics Fund-Growth Option

Open Ended Schemes(Income)

Aditya Birla Sun Life Mutual Fund

120533 INF209K01YL4 - Aditya Birla Sun Life Banking & PSU Debt Fund - Gro
103188 INF209K01BF4 - Aditya Birla Sun Life Banking & PSU Debt Fund - Gr
133440 - INF209K01YJ8 Aditya Birla Sun Life Banking & PSU Debt Fund - Mon
133439 INF209KA1WN8 - Aditya Birla Sun Life Banking & PSU Debt Fund - Mo
103187 INF209K01BE7 INF209K01EA9 Aditya Birla Sun Life Banking & PSU Debt Fund - Re
120532 INF209K01YK6 - Aditya Birla Sun Life Banking & PSU Debt Fund - Wee
119524 INF209K01XW3 - Aditya Birla Sun Life Cash Manager - Daily Dividend
113307 - INF209K01KH1 Aditya Birla Sun Life Cash Manager - Daily Dividend
119523 INF209K01XU7 - Aditya Birla Sun Life Cash Manager - Growth - Direc
103192 INF209K01LQ0 - Aditya Birla Sun Life Cash Manager - Growth Plan
103191 - INF209K01KD0 Aditya Birla Sun Life Cash Manager - Institutional Pl
103195 INF209K01KE8 - Aditya Birla Sun Life Cash Manager - Institutional Pl
103194 - INF209K01KG3 Aditya Birla Sun Life Cash Manager - Institutional P
119522 - INF209K01XV5 Aditya Birla Sun Life Cash Manager - Weekly Dividen
103193 - INF209K01KF5 Aditya Birla Sun Life Cash Manager - Weekly Divide
134388 INF209KA1L12 - Aditya Birla Sun Life Corporate Bond Fund - Direct
134385 INF209KA1K96 INF209KA1L04 Aditya Birla Sun Life Corporate Bond Fund - Direct P
134387 INF209KA1K88 - Aditya Birla Sun Life Corporate Bond Fund - Direct P
134384 INF209KA1K70 - Aditya Birla Sun Life Corporate Bond Fund - Regular
134386 INF209KA1K54 INF209KA1K62 Aditya Birla Sun Life Corporate Bond Fund - Regular
134383 INF209KA1K47 - Aditya Birla Sun Life Corporate Bond Fund - Regular
132918 INF209KA1TX3 - Aditya Birla Sun Life Dynamic Bond Fund - Direct Pl
119505 INF209K01N82 - Aditya Birla Sun Life Dynamic Bond Fund - Growth -
102767 INF209K01793 - Aditya Birla Sun Life Dynamic Bond Fund - Growth -
119503 INF209K01R62 - Aditya Birla Sun Life Dynamic Bond Fund - Monthly D
111521 INF209K01801 INF209K01DG8 Aditya Birla Sun Life Dynamic Bond Fund - Monthly
119502 INF209K01R88 - Aditya Birla Sun Life Dynamic Bond Fund - Quarterly
102766 INF209K01819 INF209K01DH6 Aditya Birla Sun Life Dynamic Bond Fund - Quarterly
132917 INF209KA1TV7 - Aditya Birla Sun Life Dynamic Bond Fund - Regular P
111848 INF209K01JW2 - Aditya Birla Sun Life Dynamic Bond Fund-Disciplin
111777 INF209K01LD8 - Aditya Birla Sun Life Income Plus (Discipline Advant
133446 INF209KA1WL2 INF209KA1WM0 Aditya Birla Sun Life Income Plus - Dividend - Direct
133445 INF209KA1WJ6 INF209KA1WK4 Aditya Birla Sun Life Income Plus - Dividend - Regul
119657 INF209K01WY1 - Aditya Birla Sun Life Income Plus - Growth - Direct P
100038 INF209K01579 - Aditya Birla Sun Life Income Plus - Growth - Regular
119655 INF209K01WZ8 - Aditya Birla Sun Life Income Plus - Quarterly Dividen
100037 INF209K01587 INF209K01CY3 Aditya Birla Sun Life Income Plus - Quarterly Divide
119538 INF209KA1KO1 - Aditya Birla Sun Life Medium Term Plan - Dividend -
111812 INF209K01611 INF209K01DA1 Aditya Birla Sun Life Medium Term Plan - Dividend -
119539 INF209K01XA9 - Aditya Birla Sun Life Medium Term Plan - Growth - D
111803 INF209K01603 - Aditya Birla Sun Life Medium Term Plan - Growth - R
119540 INF209KA1KN3 - Aditya Birla Sun Life Medium Term Plan - Half Yearly
111811 INF209K01595 INF209K01CZ0 Aditya Birla Sun Life Medium Term Plan - Half Yearl
111805 - - Aditya Birla Sun Life Medium Term Plan - Institutiona
111813 INF209K01652 INF209K01LJ5 Aditya Birla Sun Life Medium Term Plan - Institutiona
111804 INF209K01660 - Aditya Birla Sun Life Medium Term Plan - Institutiona
111816 INF209K01645 INF209K01LI7 Aditya Birla Sun Life Medium Term Plan - Institutiona
111815 - - Aditya Birla Sun Life Medium Term Plan - Institutiona
111810 INF209K01678 - Aditya Birla Sun Life Medium Term Plan - Institutiona
119541 INF209KA1KP8 - Aditya Birla Sun Life Medium Term Plan - Quarterly D
111809 INF209K01637 - Aditya Birla Sun Life Medium Term Plan - Quarterly
111806 - - Aditya Birla Sun Life Medium Term Plan - Retail - Da
111814 - INF209K01DB9 Aditya Birla Sun Life Medium Term Plan - Retail - Qr
120704 INF209K01XB7 - Aditya Birla Sun Life MIP - Direct Plan - Growth
119640 INF209K01R21 - Aditya Birla Sun Life MIP - Direct Plan - Monthly Div
100970 INF209K01694 - Aditya Birla Sun Life MIP - Regular Plan - Growth
100971 INF209K01702 - Aditya Birla Sun Life MIP - Regular Plan - Monthly D
101713 INF209K01728 - Aditya Birla Sun Life MIP II - Saving 5 Plan - Growth
120706 INF209K01XE1 - Aditya Birla Sun Life MIP II - Savings 5 Plan - Growt
120549 INF209K01R39 - Aditya Birla Sun Life MIP II - Savings 5 Plan - Monthl
101711 INF209K01736 INF209K01DE3 Aditya Birla Sun Life MIP II - Savings 5 Plan - Month
120705 INF209K01XH4 INF209K01XJ0 Aditya Birla Sun Life MIP II - Wealth 25 Plan - Growt
101818 INF209K01751 INF209K01777 Aditya Birla Sun Life MIP II - Wealth 25 Plan - Grow
120550 INF209K01R47 - Aditya Birla Sun Life MIP II - Wealth 25 Plan - Month
101816 INF209K01769 INF209K01DF0 Aditya Birla Sun Life MIP II - Wealth 25 Plan - Month
103184 INF209K01AX9 INF209K01DX3 Aditya Birla Sun Life Monthly Income - Dividend - Re
120572 INF209K01YH2 - Aditya Birla Sun Life Monthly Income - Growth - Dire
103185 INF209K01AZ4 - Aditya Birla Sun Life Monthly Income - Growth - Reg
120574 INF209K01S20 - Aditya Birla Sun Life Monthly Income - Quarterly Divi
103186 INF209K01AY7 INF209K01DY1 Aditya Birla Sun Life Monthly Income - Quarterly Div
120573 INF209KA1LG5 INF209K01YF6 Aditya Birla Sun Life Monthly Income- Dividend - Dir
119500 INF209K01UQ1 - Aditya Birla Sun Life Savings Fund - Daily Dividend -
105888 INF209K01LY4 - Aditya Birla Sun Life Savings Fund - Daily Dividend
112016 INF209K01JT8 - Aditya Birla Sun Life Savings Fund - Discipline Adva
119501 INF209K01UR9 - Aditya Birla Sun Life Savings Fund - Growth - Direct
101317 INF209K01LZ1 - Aditya Birla Sun Life Savings Fund - Growth - Regul
119499 INF209K01US7 - Aditya Birla Sun Life Savings Fund - Weekly Dividend
105887 INF209K01MA2 - Aditya Birla Sun Life Savings Fund - Weekly Dividen
101315 - - Aditya Birla Sun Life Savings Fund-Insititutional Fort
105889 - - Aditya Birla Sun Life Savings Fund-Insititutional Pla
105886 - INF209K01DJ2 Aditya Birla Sun Life Savings Fund-Retail - Monthly
105881 INF209K01MD6 - Aditya Birla Sun Life Savings Fund-Retail - Weekly
109108 INF209K01MB0 - Aditya Birla Sun Life Savings Fund-Retail Daily Divi
101318 - - Aditya Birla Sun Life Savings Fund-Retail Fortnightly
101316 INF209K01MC8 - Aditya Birla Sun Life Savings Fund-Retail Growth
103177 - - Aditya Birla Sun Life Income Fund-Plan A(Dividend)
103179 - INF209K01DI4 Aditya Birla Sun Life Income Fund-Plan D(54EA Divi
103180 - - Aditya Birla Sun Life Income Fund-Plan E(54EA Gro
103181 - - Aditya Birla Sun Life Income Fund-PLan F(54EB Div
103182 - - Aditya Birla Sun Life Income Fund-Plan G(54EB Gro
111780 INF209K01KK5 - Aditya Birla Sun Life Short Term Fund - Discipline
124832 INF209KA1KT0 - Aditya Birla Sun Life Short Term Fund - Dividend - Di
124833 INF209KA1KS2 - Aditya Birla Sun Life Short Term Fund - Dividend - R
119533 INF209K01S38 - Aditya Birla Sun Life Short Term Fund - Growth - Dir
103178 INF209K01785 - Aditya Birla Sun Life Short Term Fund - Growth - Re
119532 INF209K01N90 - Aditya Birla Sun Life Short Term Fund - Monthly Divi
103183 INF209K01983 - Aditya Birla Sun Life Short Term Fund - Monthly Div
119496 INF209K01R96 INF209K01XL6 Aditya Birla Sun Life Short Term Opportunities Fund
101843 INF209K01975 INF209K01DK0 Aditya Birla Sun Life Short Term Opportunities Fund
119498 INF209K01XK8 - Aditya Birla Sun Life Short Term Opportunities Fund
101844 INF209K01942 - Aditya Birla Sun Life Short Term Opportunities Fund
119497 INF209KA1KQ6 INF209KA1KR4 Aditya Birla Sun Life Short Term Opportunities Fund -
112356 INF209K01BU3 - Aditya Birla Sun Life Short Term Opportunities Fund
109216 INF209K01959 - Aditya Birla Sun Life Short Term Opportunities Fund-I
109213 INF209K01967 - Aditya Birla Sun Life Short Term Opportunities Fund-
112357 INF209K01BV1 - Aditya Birla Sun Life Short Term Opportunities Fund-I
119551 INF209KA12Z1 INF209KA13Z9 Aditya Birla Sun Life Treasury Optimizer Plan - Direc
119550 INF209K01YN0 - Aditya Birla Sun Life Treasury Optimizer Plan - Dire
119552 INF209K01YM2 - Aditya Birla Sun Life Treasury Optimizer Plan - Dire
119553 INF209K01YO8 - Aditya Birla Sun Life Treasury Optimizer Plan - Direc
112015 INF209K01KM1 - Aditya Birla Sun Life Treasury Optimizer Plan - Disc
108272 INF209K01LX6 - Aditya Birla Sun Life Treasury Optimizer Plan - Regu
108273 INF209K01LV0 - Aditya Birla Sun Life Treasury Optimizer Plan - Reg
110282 INF209K01LU2 - Aditya Birla Sun Life Treasury Optimizer Plan - Reg
108274 INF209K01LN7 - Aditya Birla Sun Life Treasury Optimizer Plan - Regu
103176 INF209K01LT4 - Aditya Birla Sun Life Treasury Optimizer Plan - Reta
110490 INF209K01LR8 - Aditya Birla Sun Life Treasury Optimizer Plan - Reta
106157 INF209K01LS6 - Aditya Birla Sun Life Treasury Optimizer Plan - Retai
103175 - INF209K01EB7 Aditya Birla Sun Life Ultra Short Term Fund- Retail

Axis Mutual Fund

128953 INF846K01NG6 - Axis Banking & PSU Debt Fund - Bonus Option
117447 - INF846K01CC8 Axis Banking & PSU Debt Fund - Daily Dividend Opt
128952 INF846K01NF8 - Axis Banking & PSU Debt Fund - Direct Plan - Bonus
120437 - INF846K01CU0 Axis Banking & PSU Debt Fund - Direct Plan - Daily
120438 INF846K01CR6 - Axis Banking & PSU Debt Fund - Direct Plan - Growt
120439 INF846K01CT2 INF846K01CS4 Axis Banking & PSU Debt Fund - Direct Plan - Month
120436 INF846K01CV8 INF846K01CW6 Axis Banking & PSU Debt Fund - Direct Plan - Weekl
117446 INF846K01CB0 - Axis Banking & PSU Debt Fund - Growth option
117449 INF846K01CF1 INF846K01CG9 Axis Banking & PSU Debt Fund - Monthly Dividend O
117448 INF846K01CD6 INF846K01CE4 Axis Banking & PSU Debt Fund - Weekly Dividend op
141586 INF846K01ZN6 - Axis Corporate Debt Opportunities Fund - Direct Pla
141588 INF846K01ZM8 - Axis Corporate Debt Opportunities Fund - Direct Pla
141590 INF846K01ZQ9 INF846K01ZR7 Axis Corporate Debt Opportunities Fund - Direct Pla
141591 INF846K01ZS5 INF846K01ZT3 Axis Corporate Debt Opportunities Fund - Direct Pla
141587 INF846K01ZO4 INF846K01ZP1 Axis Corporate Debt Opportunities Fund - Direct Pl
141589 INF846K01ZV9 - Axis Corporate Debt Opportunities Fund - Regular P
141593 INF846K01ZU1 - Axis Corporate Debt Opportunities Fund - Regular P
141594 INF846K01ZY3 INF846K01ZZ0 Axis Corporate Debt Opportunities Fund - Regular P
141595 INF846K01A03 INF846K01A11 Axis Corporate Debt Opportunities Fund - Regular P
141592 INF846K01ZW7 INF846K01ZX5 Axis Corporate Debt Opportunities Fund - Regular P
115131 INF846K01941 INF846K01958 Axis Dynamic Bond Fund - Half Yearly Dividend opt
120451 INF846K01DI3 - Axis Dynamic Bond Fund - Direct Plan - Growth Opti
120450 INF846K01DJ1 INF846K01DK9 Axis Dynamic Bond Fund - Direct Plan - Half Yearly
120452 INF846K01DL7 INF846K01DM5 Axis Dynamic Bond Fund - Direct Plan - Quarterly Di
115068 INF846K01917 - Axis Dynamic Bond Fund - Growth Option
115069 INF846K01925 INF846K01933 Axis Dynamic Bond Fund - Quarterly Dividend option
130314 INF846K01PJ5 - Axis Fixed Income Opportunities Fund - Direct Plan
130312 INF846K01PM9 INF846K01PN7 Axis Fixed Income opportunities Fund - Direct Plan -
130311 INF846K01PK3 INF846K01PL1 Axis Fixed Income Opportunities Fund - Direct Plan
130309 INF846K01PO5 - Axis Fixed Income Opportunities Fund - Regular Pla
130313 INF846K01PR8 INF846K01PS6 Axis Fixed Income Opportunities Fund - Regular Plan
130310 INF846K01PP2 INF846K01PQ0 Axis Fixed Income opportunities Fund - Regular Plan
120477 INF846K01DY0 INF846K01DZ7 Axis Income Saver - Direct Plan - Dividend Option -
120480 INF846K01EA8 - Axis Income Saver - Direct Plan - Growth Option
120478 INF846K01EB6 INF846K01EC4 Axis Income Saver - Direct Plan - Half Yearly
120479 INF846K01ED2 INF846K01EE0 Axis Income Saver - Direct Plan - Quarterly
112927 INF846K01743 INF846K01750 Axis Income Saver - Dividend Option - Annual Divid
112926 INF846K01727 INF846K01735 Axis Income Saver - Dividend Option - Half Yearly
112925 INF846K01701 INF846K01719 Axis Income Saver - Dividend Option - Quarterly
112924 INF846K01693 - Axis Income Saver -Growth Option
128958 INF846K01NO0 - Axis Regular Savings Fund - Bonus Option
120475 INF846K01DT0 - Axis Regular Savings Fund - Direct Plan - Growth Op
120474 INF846K01DU8 INF846K01DV6 Axis Regular Savings Fund - Direct Plan - Half Yearl
120476 INF846K01DW4 INF846K01DX2 Axis Regular Savings Fund - Direct Plan - Quarterly
116894 INF846K01BP2 - Axis Regular Savings Fund - Growth Option
116896 INF846K01BR8 INF846K01BT4 Axis Regular Savings Fund - Half Yearly Dividend Op
116895 INF846K01BQ0 INF846K01BS6 Axis Regular Savings Fund - Quarterly Dividend Opt
128950 INF846K01NS1 - Axis Short Term Fund - Bonus Option
120510 INF846K01EI1 - Axis Short Term Fund - Direct Plan - Growth Option
120511 INF846K01EJ9 INF846K01EK7 Axis Short Term Fund - Direct Plan - Monthly Divide
133894 INF846K01RH5 INF846K01RI3 Axis Short Term Fund - Direct Plan - Regular Divide
120512 INF846K01EL5 INF846K01EM3 Axis Short Term Fund - Direct Plan - Weekly Dividen
112354 INF846K01644 - Axis Short Term Fund - Growth Option
112355 INF846K01651 INF846K01669 Axis Short Term Fund - Monthly Dividend Option
133895 INF846K01RJ1 INF846K01RK9 Axis Short Term Fund - Regular Dividend Option
112721 INF846K01594 - Axis Short Term Fund - Retail Plan - Growth Option
112723 INF846K01602 INF846K01610 Axis Short Term Fund - Retail Plan - Monthly Divide
112722 INF846K01628 INF846K01636 Axis Short Term Fund - Retail Plan - Weekly Dividen
112369 INF846K01677 INF846K01685 Axis Short Term Fund - Weekly Dividend Option
112215 - INF846K01545 Axis Treasury Advantage Fund - Daily Dividend Opti
128961 INF846K01NQ5 - Axis Treasury Advantage Fund - Direct Plan - Bonus
120515 - INF846K01EQ4 Axis Treasury Advantage Fund - Direct Plan - Daily
120513 INF846K01EN1 - Axis Treasury Advantage Fund - Direct Plan - Growt
120516 INF846K01EO9 INF846K01EP6 Axis Treasury Advantage Fund - Direct Plan - Month
120514 INF846K01ER2 INF846K01ES0 Axis Treasury Advantage Fund - Direct Plan - Weekl
112214 INF846K01537 - Axis Treasury Advantage Fund - Growth Option
112216 INF846K01552 INF846K01560 Axis Treasury Advantage Fund - Institutional Plan -
112217 INF846K01578 INF846K01586 Axis Treasury Advantage Fund - Monthly Dividend O
112720 - INF846K01487 Axis Treasury Advantage Fund - Retail Plan - Daily
112717 INF846K01479 - Axis Treasury Advantage Fund - Retail Plan - Growt
112718 INF846K01511 INF846K01529 Axis Treasury Advantage Fund - Retail Plan - Monthl
112719 INF846K01495 INF846K01503 Axis Treasury Advantage Fund - Retail Plan - Weekl

Baroda Pioneer Mutual Fund

133525 INF955L01FT2 - Baroda Pioneer Credit Opportunities Fund -Plan A -


133486 INF955L01FP0 - Baroda Pioneer Credit Opportunities Fund -Plan A -
133517 INF955L01FU0 - Baroda Pioneer Credit Opportunities Fund -Plan A -
133518 INF955L01FV8 - Baroda Pioneer Credit Opportunities Fund -Plan A -
133678 INF955L01FY2 - Baroda Pioneer Credit Opportunities Fund -Plan B(D
133520 INF955L01FZ9 - Baroda Pioneer Credit Opportunities Fund -Plan B-(D
133524 INF955L01GA0 - Baroda Pioneer Credit Opportunities Fund -Plan B-(D
133488 INF955L01FR6 - Baroda Pioneer Credit Opportunities Fund -Plan B-G
117629 INF955L01880 - Baroda Pioneer Dynamic Bond Fund - Plan A - Divid
117631 INF955L01906 - Baroda Pioneer Dynamic Bond Fund - Plan A - Grow
119336 INF955L01989 - Baroda Pioneer Dynamic Bond Fund - Plan B (Direct)
119337 INF955L01AA3 - Baroda Pioneer Dynamic Bond Fund - Plan B (Direct
101155 INF955L01211 INF955L01229 BARODA PIONEER INCOME FUND - Plan A - Divide
101154 INF955L01237 - BARODA PIONEER INCOME FUND - Plan A - Growt
119361 INF955L01BO2 - BARODA PIONEER INCOME FUND - Plan B (Direct) -
119362 INF955L01BQ7 - BARODA PIONEER INCOME FUND - Plan B (Direct)
102661 INF955L01161 - BARODA PIONEER MIP FUND - Plan A - Growth Op
102662 INF955L01179 INF955L01187 BARODA PIONEER MIP FUND - Plan A - Monthly Di
102663 INF955L01195 INF955L01203 BARODA PIONEER MIP FUND - Plan A - Quarterly D
119389 INF955L01AQ9 - BARODA PIONEER MIP FUND - Plan B (Direct) - Gr
119391 INF955L01AR7 - BARODA PIONEER MIP FUND - Plan B (Direct) - Qua
119390 INF955L01AO4 - BARODA PIONEER MIP FUND - Plan B (Direct)- Mont
119399 INF955L01BB9 - Baroda Pioneer Short Term Bond Fund - Plan B (Dir
113037 INF955L01138 INF955L01146 Baroda Pioneer Short Term Bond Fund - Plan A - Mo
113036 INF955L01153 - Baroda Pioneer Short Term Bond Fund - Plan A - Gr
140465 INF955L01GS2 - Baroda Pioneer Short Term Bond Fund - Plan A - Qu
119400 INF955L01BD5 - Baroda Pioneer Short Term Bond Fund - Plan B (Dire
140463 INF955L01GU8 - Baroda Pioneer Short Term Bond Fund - Plan B - (Dir
125136 INF955L01DZ4 - Baroda Pioneer Treasury Advantage Fund - Plan A -
125137 INF955L01EA5 - Baroda Pioneer Treasury Advantage Fund - Plan B (D
119309 INF955L01BE3 - Baroda Pioneer Treasury Advantage Fund - Plan B (Di
119410 INF955L01BF0 - Baroda Pioneer Treasury Advantage Fund - Plan B (D
119411 INF955L01BG8 - Baroda Pioneer Treasury Advantage Fund - Plan B (D
119439 INF955L01BK0 - Baroda Pioneer Treasury Advantage Fund - Plan B (Di
119409 INF955L01BI4 - Baroda Pioneer Treasury Advantage Fund - Plan B (D
112032 INF955L01294 INF955L01302 Baroda Pioneer Treasury Advantage Fund- Plan A- D
112029 INF955L01310 - Baroda Pioneer Treasury Advantage Fund- Plan A-
112035 INF955L01344 INF955L01351 Baroda Pioneer Treasury Advantage Fund- Plan A- M
112034 INF955L01BM6 - Baroda Pioneer Treasury Advantage Fund- Plan A- Q
112033 INF955L01328 INF955L01336 Baroda Pioneer Treasury Advantage Fund- Plan A-
112025 INF955L01369 INF955L01377 Baroda Pioneer Treasury Advantage Fund- Regular P
112031 INF955L01385 - Baroda Pioneer Treasury Advantage Fund- Regular P
112027 INF955L01393 INF955L01401 Baroda Pioneer Treasury Advantage Fund- Regular P
112028 --- - Baroda Pioneer Treasury Advantage Fund- Regular P
112026 INF955L01419 INF955L01427 Baroda Pioneer Treasury Advantage Fund- Regular P

BNP Paribas Mutual Fund

117949 INF251K01EU9 INF251K01EV7 BNP PARIBAS CORPORATE BOND FUND ANNUAL


117950 INF251K01EQ7 INF251K01ER5 BNP PARIBAS CORPORATE BOND FUND MONTH
119983 INF251K01GU4 INF251K01GV2 BNP Paribas Corporate Bond Fund - Direct Plan - An
119984 INF251K01GP4 - BNP Paribas Corporate Bond Fund - Direct Plan - G
119985 INF251K01GQ2 INF251K01GR0 BNP Paribas Corporate Bond Fund - Direct Plan - Mo
119986 INF251K01GS8 INF251K01GT6 BNP Paribas Corporate Bond Fund - Direct Plan - Qu
114100 INF251K01EN4 INF251K01EO2 BNP PARIBAS Corporate Bond Fund - Regular Plan -
114099 INF251K01EI4 - BNP PARIBAS Corporate Bond Fund - Regular Plan
114105 INF251K01EJ2 INF251K01EK0 BNP PARIBAS Corporate Bond Fund - Regular Plan -
114097 INF251K01EL8 INF251K01EM6 BNP PARIBAS Corporate Bond Fund - Regular Plan -
117951 INF251K01EP9 - BNP PARIBAS CORPORATE BOND FUND GROWT
117948 INF251K01ES3 INF251K01ET1 BNP PARIBAS CORPORATE BOND FUND QUARTE
119991 - INF251K01GX8 BNP Paribas Flexi Debt Fund - Direct Plan - Daily D
119992 INF251K01GW0 - BNP Paribas Flexi Debt Fund - Direct Plan - Growth
119993 INF251K01HD8 INF251K01HE6 BNP Paribas Flexi Debt Fund - Direct Plan - Half Yea
119994 INF251K01GZ3 INF251K01HA4 BNP Paribas Flexi Debt Fund - Direct Plan - Monthly
119995 INF251K01HB2 INF251K01HC0 BNP Paribas Flexi Debt Fund - Direct Plan - Quarter
119996 - INF251K01GY6 BNP Paribas Flexi Debt Fund - Direct Plan - Weekly
117958 - INF251K01DX5 BNP Paribas Flexi Debt Fund Daily Dividend Option
117957 INF251K01DW7 - BNP Paribas Flexi Debt Fund Growth Option
117962 INF251K01ED5 INF251K01EE3 BNP Paribas Flexi Debt Fund Half Yearly Dividend O
117960 INF251K01DZ0 INF251K01EA1 BNP Paribas Flexi Debt Fund Monthly Option
117961 INF251K01EB9 INF251K01EC7 BNP Paribas Flexi Debt Fund Quarterly Dividend Opt
117959 - INF251K01DY3 BNP Paribas Flexi Debt Fund Weekly Dividend Opti
113526 INF251K01EF0 - BNP PARIBAS Flexi Debt Fund-Regular Plan A - Gr
113528 - INF251K01EH6 BNP PARIBAS Flexi Debt Fund-Regular Plan A - Quar
127320 INF251K01LP4 INF251K01LZ3 BNP Paribas Medium Term Income Fund - Annual Di
127307 INF251K01LQ2 INF251K01MA4 BNP Paribas Medium Term Income Fund - Calendar Q
127315 INF251K01LY6 INF251K01MG1 BNP Paribas Medium Term Income Fund - Direct Plan
127311 INF251K01LW0 INF251K01ME6 BNP Paribas Medium Term Income Fund - Direct Plan
127305 INF251K01LU4 - BNP Paribas Medium Term Income Fund - Direct Pla
127313 INF251K01LX8 INF251K01MF3 BNP Paribas Medium Term Income Fund - Direct Plan
127310 INF251K01LV2 INF251K01MD8 BNP Paribas Medium Term Income Fund - Direct Plan
127304 INF251K01LT6 - BNP Paribas Medium Term Income Fund - Growth O
127319 INF251K01LR0 INF251K01MB2 BNP Paribas Medium Term Income Fund - Half Yearl
127308 INF251K01LS8 INF251K01MC0 BNP Paribas Medium Term Income Fund - Monthly D
117944 - INF251K01DR7 BNP PARIBAS MONEY PLUS FUND DAILY DIVID
117945 INF251K01DQ9 - BNP PARIBAS MONEY PLUS FUND GROWTH OP
117947 INF251K01DU1 INF251K01DV9 BNP PARIBAS MONEY PLUS FUND MONTHLY DI
117946 INF251K01DS5 INF251K01DT3 BNP PARIBAS MONEY PLUS FUND WEEKLY DIV
120007 - INF251K01GK5 BNP Paribas Money Plus Fund - Direct Plan - Daily
120008 INF251K01GJ7 - BNP Paribas Money Plus Fund - Direct Plan - Growt
120009 INF251K01GN9 INF251K01GO7 BNP Paribas Money Plus Fund - Direct Plan - Monthl
120010 INF251K01GL3 INF251K01GM1 BNP Paribas Money Plus Fund - Direct Plan - Weekl
113483 - INF251K01DM8 BNP PARIBAS Money Plus Fund-Regular Plan- Daily
113476 INF251K01DL0 - BNP PARIBAS Money Plus Fund-Regular Plan-Grow
113478 INF251K01DO4 INF251K01DP1 BNP PARIBAS Money Plus Fund-Regular Plan-Month
113477 - INF251K01DN6 BNP PARIBAS Money Plus Fund-Regular Plan-Weekl
120082 INF251K01HR8 - BNP Paribas Monthly Income Plan - Direct Plan - Gr
120083 INF251K01HS6 INF251K01HT4 BNP Paribas Monthly Income Plan - Direct Plan - Mo
120111 INF251K01HU2 INF251K01HV0 BNP Paribas Monthly Income Plan - Direct Plan - Qua
113560 INF251K01845 - BNP PARIBAS Monthly Income Plan-Regular Plan-G
113561 INF251K01852 INF251K01860 BNP PARIBAS Monthly Income Plan-Regular Plan-Mo
113562 INF251K01878 INF251K01886 BNP PARIBAS Monthly Income Plan-Regular Plan-Qua
117956 - INF251K01CY5 BNP PARIBAS SHORT TERM INCOME FUND DAIL
117953 INF251K01CX7 - BNP PARIBAS SHORT TERM INCOME FUND GR
117955 INF251K01DA3 INF251K01DB1 BNP PARIBAS SHORT TERM INCOME FUND MON
117952 INF251K01DC9 INF251K01DD7 BNP PARIBAS SHORT TERM INCOME FUND QUA
117954 - INF251K01CZ2 BNP PARIBAS SHORT TERM INCOME FUND WEE
120135 - INF251K01GD0 BNP Paribas Short Term Income Fund - Direct Plan -
120131 INF251K01GC2 - BNP Paribas Short Term Income Fund - Direct Plan
120132 INF251K01GF5 INF251K01GG3 BNP Paribas Short Term Income Fund - Direct Plan -
120133 INF251K01GH1 INF251K01GI9 BNP Paribas Short Term Income Fund - Direct Plan -
120134 - INF251K01GE8 BNP Paribas Short Term Income Fund - Direct Plan
113547 INF251K01CR9 - BNP PARIBAS Short Term Income Fund-Regular Pla
113548 INF251K01CT5 INF251K01CU3 BNP PARIBAS Short Term Income Fund-Regular Plan
113557 INF251K01CV1 INF251K01CW9 BNP PARIBAS Short Term Income Fund-Regular Plan
113549 - INF251K01CS7 BNP PARIBAS Short Term Income Fund-Regular Pla

BOI AXA Mutual Fund

133868 INF761K01DG8 - BOI AXA Corporate Credit Spectrum Fund - Direct P


133867 INF761K01DH6 - BOI AXA Corporate Credit Spectrum Fund - Regular
119396 INF761K01793 INF761K01801 BOI AXA Regular Return Fund-Direct Plan-Annual D
119393 INF761K01819 - BOI AXA Regular Return Fund-Direct Plan-Growth
119394 INF761K01835 INF761K01827 BOI AXA Regular Return Fund-Direct Plan-Monthly
119395 INF761K01850 INF761K01843 BOI AXA Regular Return Fund-Direct Plan-Quarterly
111719 INF761K01371 INF761K01389 BOI AXA Regular Return Fund-ECO Plan-Annual Di
111715 INF761K01397 - BOI AXA Regular Return Fund-ECO Plan-Growth
111717 INF761K01413 INF761K01405 BOI AXA Regular Return Fund-ECO Plan-Monthly Di
111718 INF761K01439 INF761K01421 BOI AXA Regular Return Fund-ECO Plan-Quarterly
111714 INF761K01454 INF761K01447 BOI AXA Regular Return Fund-Regular Plan-Annual
111712 INF761K01462 - BOI AXA Regular Return Fund-Regular Plan-Growth
111716 INF761K01488 INF761K01470 BOI AXA Regular Return Fund-Regular Plan-Monthly
111713 INF761K01504 INF761K01496 BOI AXA Regular Return Fund-Regular Plan-Quarter
119382 INF761K01736 - BOI AXA Short Term Income Fund-Direct Plan- Grow
119383 INF761K01751 INF761K01744 BOI AXA Short Term Income Fund-Direct Plan- Mont
119384 INF761K01777 INF761K01769 BOI AXA Short Term Income Fund-Direct Plan- Quart
111585 INF761K01579 - BOI AXA Short Term Income Fund-Regular Plan- Gr
111589 INF761K01595 INF761K01587 BOI AXA Short Term Income Fund-Regular Plan- Mon
111590 INF761K01611 INF761K01603 BOI AXA Short Term Income Fund-Regular Plan- Qua
119379 INF761K01892 - BOI AXA Treasury Advantage Fund- Direct Plan- Gr
119381 - INF761K01CU1 BOI AXA Treasury Advantage Fund- Direct Plan- We
126389 INF761K01CS5 - BOI AXA Treasury Advantage Fund- Direct Plan-Bo
109269 INF761K01298 - BOI AXA Treasury Advantage Fund- Regular Plan-
109264 - INF761K01CX5 BOI AXA Treasury Advantage Fund- Regular Plan- W
119380 - INF761K01CT3 BOI AXA Treasury Advnatage Fund- Direct Plan- Dai
111970 - INF761K01CW7 BOI AXA Treasury Advnatage Fund- Regular Plan- D

Canara Robeco Mutual Fund

118283 INF760K01EA1 INF760K01EB9 Canara Robeco Dynamic Bond Fund - Direct Plan - D
118284 INF760K01EC7 - Canara Robeco Dynamic Bond Fund - Direct Plan -
111963 INF760K01423 INF760K01431 Canara Robeco Dynamic Bond Fund - Regular Plan -
111962 INF760K01449 - Canara Robeco Dynamic Bond Fund - Regular Plan
101588 INF760K01324 - Canara Robeco Income - Regular Plan - Growth
101587 INF760K01340 INF760K01357 Canara Robeco Income - Regular Plan - Quarterly D
118281 INF760K01FG5 INF760K01FH3 Canara Robeco Income- Direct Plan - Quarterly Divi
118282 INF760K01FI1 - Canara Robeco Income-Direct Plan - Growth Option
118302 INF760K01FJ9 - Canara Robeco InDiGo Fund - Direct Plan - Growth
118303 INF760K01FK7 INF760K01FL5 Canara Robeco InDiGo Fund - Direct Plan - Quarterl
113101 INF760K01AJ0 - Canara Robeco InDiGo Fund - Regular Plan - Growt
113100 INF760K01AK8 INF760K01AL6 Canara Robeco InDiGo Fund - Regular Plan - Quarte
126686 INF760K01HC0 INF760K01HD8 Canara Robeco Medium Term Opportunities Fund - Di
126685 INF760K01HB2 - Canara Robeco Medium Term Opportunities Fund - D
126688 INF760K01GZ3 INF760K01HA4 Canara Robeco Medium Term Opportunities Fund - R
126687 INF760K01GY6 - Canara Robeco Medium Term Opportunities Fund - R
118311 INF760K01FZ5 INF760K01GA6 Canara Robeco Monthly Income Plan - Direct Plan -
118310 INF760K01GC2 INF760K01GD0 Canara Robeco Monthly Income Plan - Direct Plan -
100601 INF760K01282 - Canara Robeco Monthly Income Plan - Regular Plan
100600 INF760K01308 INF760K01316 Canara Robeco Monthly Income Plan - Regular Plan
112378 INF760K01AP7 INF760K01AQ5 Canara Robeco Monthly Income Plan - Regular Plan
118309 INF760K01GB4 - Canara Robeco Monthly Income Plan-Direct Plan - G
118312 INF760K01GH1 - Canara Robeco Short Term Fund- Direct Plan - Gro
118313 INF760K01GI9 INF760K01GJ7 Canara Robeco Short Term Fund- Direct Plan - Mont
118314 - INF760K01GK5 Canara Robeco Short Term Fund- Direct Plan - Week
111879 INF760K01688 - Canara Robeco Short Term Fund- Institutional Plan
111880 INF760K01662 INF760K01670 Canara Robeco Short Term Fund- Institutional Plan
111883 INF760K01720 - Canara Robeco Short Term Fund- Regular Plan - Gr
111882 INF760K01704 INF760K01712 Canara Robeco Short Term Fund- Regular Plan - Mo
112081 - INF760K01738 Canara Robeco Short Term Fund- Regular Plan - We
118315 - INF760K01GL3 Canara Robeco Treasury Advantage Fund - Direct Pl
118319 INF760K01GN9 - Canara Robeco Treasury Advantage Fund - Direct Pl
118317 INF760K01GM1 - Canara Robeco Treasury Advantage Fund - Direct Pl
118318 INF760K01GP4 NF760K01GO7 Canara Robeco Treasury Advantage Fund - Direct Pl
118316 INF760K01GQ2 INF760K01GR0 Canara Robeco Treasury Advantage Fund - Direct P
106326 - INF760K01DR7 Canara Robeco Treasury Advantage Fund - Institutio
106330 INF760K01CN8 - Canara Robeco Treasury Advantage Fund - Institutio
109371 INF760K01DC9 - Canara Robeco Treasury Advantage Fund - Regular
109372 - INF760K01DA3 Canara Robeco Treasury Advantage Fund - Regular P
109370 INF760K01CA5 INF760K01DD7 Canara Robeco Treasury Advantage Fund - Regular
109366 INF760K01DE5 INF760K01DF2 Canara Robeco Treasury Advantage Fund - Regular
106325 - INF760K01CP3 Canara Robeco Treasury Advantage Fund - Retail Pl
106329 INF760K01CR9 - Canara Robeco Treasury Advantage Fund - Retail P
106324 INF760K01DQ9 INF760K01548 Canara Robeco Treasury Advantage Fund - Retail Pl
109361 - INF760K01CS7 Canara Robeco Treasury Advantage Fund - Retail Pl
109359 - INF760K01CT5 Canara Robeco Treasury Advantage Fund - Retail Pl
140530 INF760K01IL9 - Canara Robeco Treasury Advantage Fund- Regular Pl
118320 INF760K01DX5 - Canara Robeco Yield Advantage Fund - Direct Plan
118321 INF760K01DV9 INF760K01DW7 Canara Robeco Yield Advantage Fund - Direct Plan
118322 INF760K01DY3 INF760K01DZ0 Canara Robeco Yield Advantage Fund - Direct Plan -
115077 INF760K01BM2 - Canara Robeco Yield Advantage Fund - Regular Pla
115078 INF760K01BO8 INF760K01BN0 Canara Robeco Yield Advantage Fund - Regular Plan
115079 INF760K01BQ3 INF760K01BP5 Canara Robeco Yield Advantage Fund - Regular Plan

DHFL Pramerica Mutual Fund

138573 INF223J01VH1 - DHFL Pramerica Banking and PSU Debt fund - Bonu
138565 INF223J01SU0 - DHFL Pramerica Banking and PSU Debt fund - Month
138576 INF223J01VF5 - DHFL Pramerica Banking and PSU Debt fund - Quart
138571 INF223J01VV2 - DHFL Pramerica Banking and PSU Debt fund - Quart
138570 INF223J01VT6 - DHFL Pramerica Banking and PSU Debt fund - Week
138566 INF223J01SW6 - DHFL Pramerica Banking and PSU Debt fund -Grow
138575 INF223J01VG3 - DHFL Pramerica Banking and PSU Debt fund- Direct
138574 INF223J01VI9 - DHFL Pramerica Banking and PSU Debt fund- Direct
138568 INF223J01WD8 - DHFL Pramerica Banking and PSU Debt fund- Direct
138563 INF223J01SX4 - DHFL Pramerica Banking and PSU Debt fund- Direct
138567 INF223J01WB2 - DHFL Pramerica Banking and PSU Debt fund- Direct
138569 INF223J01VZ3 INF223J01WA4 DHFL Pramerica Banking and PSU Debt fund- Direct
138564 INF223J01SZ9 - DHFL Pramerica Banking and PSU Debt fund- Direct
138902 INF663L01GI3 INF663L01GJ1 DHFL Pramerica Credit Opportunites Fund - Direct P
138900 INF663L01GF9 - DHFL Pramerica Credit Opportunites Fund - Direct Pl
138903 INF663L01GO1 - DHFL Pramerica Credit Opportunites Fund - Regular
138897 INF663L01GH5 - DHFL Pramerica Credit Opportunities Fund - Direct P
138898 INF663L01GB8 - DHFL Pramerica Credit Opportunities Fund - Direct
138899 INF663L01GC6 INF663L01GD4 DHFL Pramerica Credit Opportunities Fund - Direct P
138907 INF663L01GA0 - DHFL Pramerica Credit Opportunities Fund - Regular
138908 INF663L01GP8 INF663L01GQ6 DHFL Pramerica Credit Opportunities Fund - Regular
138905 INF663L01GK9 - DHFL Pramerica Credit Opportunities Fund - Regular
138906 INF663L01GM5 - DHFL Pramerica Credit Opportunities Fund - Regular
120084 INF663L01AD7 - DHFL Pramerica Dynamic Bond Fund - Direct Plan-G
120085 INF663L01AF2 INF663L01AE5 DHFL Pramerica Dynamic Bond Fund - Direct Plan-M
120086 INF663L01AI6 INF663L01AH8 DHFL Pramerica Dynamic Bond Fund - Direct Plan-Qu
116483 INF663L01492 INF663L01500 DHFL Pramerica Dynamic Bond Fund - Dividend Opti
116484 INF663L01526 INF663L01534 DHFL Pramerica Dynamic Bond Fund - Dividend Opti
116485 INF663L01484 - DHFL Pramerica Dynamic Bond Fund - Growth Opti
122260 INF663L01BF0 - DHFL Pramerica Dynamic Bond Fund-Bonus Option
122259 INF663L01BG8 - DHFL Pramerica Dynamic Bond Fund-Direct Plan-Bo
138677 INF223J01J00 - DHFL Pramerica FIXED MATURITY PLAN - SERIE
138679 INF223J01I68 - DHFL Pramerica FIXED MATURITY PLAN - SERIE
138464 INF223J01NN6 - DHFL Pramerica Income Advantage Fund - Direct Pl
138463 - - DHFL Pramerica Income Advantage Fund - Direct Pla
138460 INF223J01CA6 INF223J01CB4 DHFL Pramerica Income Advantage Fund - Dividend
138459 INF223J01BZ5 - DHFL Pramerica Income Advantage Fund - Growth
138659 INF223J01I19 - DHFL Pramerica Inflation Indexed Bond Fund - Direc
138658 INF223J01H77 INF223J01I01 DHFL Pramerica Inflation Indexed Bond Fund - Direc
138665 INF223J01H69 - DHFL Pramerica Inflation Indexed Bond Fund - Direct
138657 INF223J01H51 - DHFL Pramerica Inflation Indexed Bond Fund - Direc
138662 INF223J01H44 - DHFL Pramerica Inflation Indexed Bond Fund - Regu
138663 INF223J01H36 - DHFL Pramerica Inflation Indexed Bond Fund - Regu
138666 INF223J01G94 - DHFL Pramerica Inflation Indexed Bond Fund - Regul
138664 INF223J01G86 - DHFL Pramerica Inflation Indexed Bond Fund - Regul
138661 INF223J01G78 - DHFL Pramerica Inflation Indexed Bond Fund - Regul
138450 INF663L01HD2 - DHFL Pramerica Low Duration Fund - Annual Bon
138437 INF663L01HY8 - DHFL Pramerica Low Duration Fund - ANNUAL DIV
138430 INF663L01HQ4 - DHFL Pramerica Low Duration Fund - DAILY DIV
138452 INF663L01HW2 INF663L01HX0 DHFL Pramerica Low Duration Fund - Direct Dividen
138449 INF663L01JS6 - DHFL Pramerica Low Duration Fund - Direct Plan -
138444 INF663L01HO9 - DHFL Pramerica Low Duration Fund - Direct Plan -
138441 INF663L01HF7 - DHFL Pramerica Low Duration Fund - Direct Plan - D
138442 INF663L01HM3 - DHFL Pramerica Low Duration Fund - Direct Plan - Fo
138443 INF663L01HE0 - DHFL Pramerica Low Duration Fund - Direct Plan -
138447 INF663L01JR8 - DHFL Pramerica Low Duration Fund - Direct Plan -
138439 INF663L01HK7 - DHFL Pramerica Low Duration Fund - Direct Plan - M
138445 INF663L01HI1 INF663L01HJ9 DHFL Pramerica Low Duration Fund - Direct Plan - Q
138446 INF663L01HG5 - DHFL Pramerica Low Duration Fund - Direct Plan -
138426 INF663L01HT8 - DHFL Pramerica Low Duration Fund - FORTNIGHTL
138423 INF663L01HV4 - DHFL Pramerica Low Duration Fund - GR
138448 INF663L01JT4 - DHFL Pramerica Low Duration Fund - Monthly Bonus
138436 INF663L01IC2 - DHFL Pramerica Low Duration Fund - QUARTERLY
138438 INF663L01IA6 - DHFL Pramerica Low Duration Fund DIV OPTION
138429 INF223J01986 - DHFL Pramerica Low Duration Fund INSTITUTION
138427 INF663L01JN7 - DHFL Pramerica Low Duration Fund INSTITUTIONA
138431 INF663L01JP2 - DHFL Pramerica Low Duration Fund INSTITUTIONA
138432 INF663L01JO5 - DHFL Pramerica Low Duration Fund INSTITUTIONAL
138435 INF663L01JQ0 - DHFL Pramerica Low Duration Fund- Bonus Option
138424 INF663L01HS0 - DHFL Pramerica Low Duration Fund- MONTHLY DI
138425 INF663L01IF5 - DHFL Pramerica Low Duration Fund- WEEKLY DIV
138696 INF223JA1MH6 - DHFL Pramerica Medium Term Income Fund - Direct
138697 INF223JA1MD5 - DHFL Pramerica Medium Term Income Fund - Direct
138700 INF223JA1LX5 - DHFL Pramerica Medium Term Income Fund - Regular
138695 INF223JA1LZ0 - DHFL Pramerica Medium Term Income Fund - Regular
138692 INF223J01N53 - DHFL Pramerica Medium Term Income Fund- Direct P
138693 INF223J01N61 - DHFL Pramerica Medium Term Income Fund- Direct
138691 INF223J01N20 - DHFL Pramerica Medium Term Income Fund- Regular
138694 INF223J01N38 - DHFL Pramerica Medium Term Income Fund- Regula
138336 INF223J01WZ1 - DHFL Pramerica Premier Bond Fund - Annual Bonu
138317 INF223J01CZ3 - DHFL Pramerica Premier Bond Fund - Annual Divid
138324 INF223J01DA4 - DHFL Pramerica Premier Bond Fund - Bonus
138329 INF223J01OM6 - DHFL Pramerica Premier Bond Fund - Direct Plan -
138330 INF223J01OO2 - DHFL Pramerica Premier Bond Fund - Direct Plan -
138333 INF223J01WG1 - DHFL Pramerica Premier Bond Fund - Direct Plan -
138331 INF223J01OP9 - DHFL Pramerica Premier Bond Fund - Direct Plan -
138332 INF223J01OR5 - DHFL Pramerica Premier Bond Fund - Direct Plan - Q
138318 INF223J01DB2 - DHFL Pramerica Premier Bond Fund - Growth
138334 INF223J01WF3 - DHFL Pramerica Premier Bond Fund - Half-Yearly B
138316 INF223J01DD8 - DHFL Pramerica Premier Bond Fund - Monthly Divid
138323 INF223J01CQ2 - DHFL Pramerica Premier Bond Fund - Premium Plus
138315 INF223J01DF3 - DHFL Pramerica Premier Bond Fund - Quarterly Div
138277 INF223J01XB0 - DHFL Pramerica Short Maturity Fund - Annual Bonu
138266 INF223J01KD3 INF223J01KE1 DHFL Pramerica Short Maturity Fund - Annual Divid
138264 INF223J01DW8 - DHFL Pramerica Short Maturity Fund - Bonus
138276 INF223J01XC8 - DHFL Pramerica Short Maturity Fund - Direct Plan -
138273 - - DHFL Pramerica Short Maturity Fund - Direct Plan -
138270 INF223J01OW5 - DHFL Pramerica Short Maturity Fund - Direct Plan -
138275 INF223J01WI7 - DHFL Pramerica Short Maturity Fund - Direct Plan -
138268 INF223J01OX3 INF223J01OY1 DHFL Pramerica Short Maturity Fund - Direct Plan -
138271 INF223J01PB6 INF223J01PC4 DHFL Pramerica Short Maturity Fund - Direct Plan -
138272 INF223J01OZ8 INF223J01PA8 DHFL Pramerica Short Maturity Fund - Direct Plan -
138256 INF223J01DT4 - DHFL Pramerica Short Maturity Fund - Growth
138274 INF223J01WH9 - DHFL Pramerica Short Maturity Fund - Half Yearly
138257 INF223J01DG1 - DHFL Pramerica Short Maturity Fund - Institutional P
138254 INF223J01DU2 INF223J01DV0 DHFL Pramerica Short Maturity Fund - Monthly Divi
138262 INF223J01DN7 - DHFL Pramerica Short Maturity Fund - Premium Plus
138261 INF223J01DR8 - DHFL Pramerica Short Maturity Fund - Premium Plus
138260 INF223J01DP2 - DHFL Pramerica Short Maturity Fund - Premium Plus
138265 INF223J01KB7 INF223J01KC5 DHFL Pramerica Short Maturity Fund - Quarterly Div
138255 INF223J01DX6 INF223J01DY4 DHFL Pramerica Short Maturity Fund - Weekly Divid
138521 INF663L01IG3 - DHFL Pramerica Short Term Floating Rate Fund - A
138500 INF663L01IW0 INF663L01IX8 DHFL Pramerica Short Term Floating Rate Fund - An
138496 INF663L01IH1 - DHFL Pramerica Short Term Floating Rate Fund - B
138484 - INF663L01IS8 DHFL Pramerica Short Term Floating Rate Fund - Da
138518 INF223J01VQ2 - DHFL Pramerica Short Term Floating Rate Fund - Dir
138522 INF223J01XG9 - DHFL Pramerica Short Term Floating Rate FUnd - Di
138508 INF663L01JX6 - DHFL Pramerica Short Term Floating Rate Fund - Di
138510 - INF663L01IJ7 DHFL Pramerica Short Term Floating Rate Fund - Dir
138509 INF663L01II9 - DHFL Pramerica Short Term Floating Rate Fund - Dir
138511 - - DHFL Pramerica Short Term Floating Rate Fund - Dir
138513 INF663L01IK5 INF663L01IL3 DHFL Pramerica Short Term Floating Rate Fund - Dir
138514 INF663L01IM1 INF663L01IN9 DHFL Pramerica Short Term Floating Rate Fund - Di
138481 INF663L01IT6 - DHFL Pramerica Short Term Floating Rate Fund - G
138483 - INF663L01KA2 DHFL Pramerica Short Term Floating Rate Fund - Insti
138492 INF663L01IU4 INF663L01IV2 DHFL Pramerica Short Term Floating Rate Fund - Mo
138517 INF223J01VP4 - DHFL Pramerica Short Term Floating Rate Fund - Qu
138499 INF663L01IY6 - DHFL Pramerica Short Term Floating Rate Fund - Qu
138491 INF663L01JA4 INF663L01JB2 DHFL Pramerica Short Term Floating Rate Fund - W
138482 INF223J01EP0 - DHFL Pramerica Short Term Floating Rate Fund- Insti
138368 INF223J01XH7 - DHFL Pramerica Ultra Short Term Fund - Annual Bo
138354 INF223J01JJ2 - DHFL Pramerica Ultra Short Term Fund - Annual Div
138345 INF223J01FN2 - DHFL Pramerica Ultra Short Term Fund - Bonus
138342 INF223J01FH4 - DHFL Pramerica Ultra Short Term Fund - Daily Divi
138367 INF223J01XI5 - DHFL Pramerica Ultra Short Term Fund - Direct Pla
138360 - - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138363 INF223J01QK5 - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138361 - INF223J01QL3 DHFL Pramerica Ultra Short Term Fund - Direct Plan
138357 - - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138358 INF223J01QO7 - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138366 INF223J01VK5 - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138359 INF223J01QP4 - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138364 INF223J01QT6 - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138362 INF223J01QR0 - DHFL Pramerica Ultra Short Term Fund - Direct Plan
138349 INF223J01FI2 - DHFL Pramerica Ultra Short Term Fund - Dividend
138343 INF223J01FK8 - DHFL Pramerica Ultra Short Term Fund - Growth
138365 INF223J01VJ7 - DHFL Pramerica Ultra Short Term Fund - Monthly B
138344 INF223J01FM4 - DHFL Pramerica Ultra Short Term Fund - Monthly Di
138353 INF223J01JH6 - DHFL Pramerica Ultra Short Term Fund - Quarterly
138346 INF223J01GA7 - DHFL Pramerica Ultra Short Term Fund - Regular Pl
138338 INF223J01FW3 - DHFL Pramerica Ultra Short Term Fund - Regular Pla
138337 INF223J01FX1 - DHFL Pramerica Ultra Short Term Fund - Regular Pl
138340 INF223J01FZ6 - DHFL Pramerica Ultra Short Term Fund - Regular Pl
138339 INF223J01GC3 - DHFL Pramerica Ultra Short Term Fund - Regular Pl
138341 INF223J01FP7 - DHFL Pramerica Ultra Short Term Fund - Weekly Di

DSP BlackRock Mutual Fund

124182 - - DSP BlackRock Banking & PSU Debt Fund - Direct Pl


124178 INF740K01A18 INF740K01A26 DSP BlackRock Banking & PSU Debt Fund - Direct Pl
124175 INF740K01ZW2 - DSP BlackRock Banking & PSU Debt Fund - Direct P
124176 INF740K01ZX0 INF740K01ZY8 DSP BlackRock Banking & PSU Debt Fund - Direct Pl
124177 INF740K01ZZ5 INF740K01A00 DSP BlackRock Banking & PSU Debt Fund - Direct Pl
124183 - - DSP BlackRock Banking & PSU Debt Fund - Direct P
124173 - - DSP BlackRock Banking & PSU Debt Fund - Regular P
124174 INF740K01ZU6 INF740K01ZV4 DSP BlackRock Banking & PSU Debt Fund - Regular
124172 INF740K01ZP6 - DSP BlackRock Banking & PSU Debt Fund - Regular
124180 INF740K01ZQ4 INF740K01ZR2 DSP BlackRock Banking & PSU Debt Fund - Regular
124181 INF740K01ZS0 INF740K01ZT8 DSP BlackRock Banking & PSU Debt Fund - Regular P
124179 - - DSP BlackRock Banking & PSU Debt Fund - Regular
118922 INF740K01NB2 INF740K01ND8 DSP BlackRock Bond Fund - Direct Plan - Dividend
118924 INF740K01MZ3 - DSP BlackRock Bond Fund - Direct Plan - Growth
118921 INF740K01NA4 INF740K01NC0 DSP BlackRock Bond Fund - Direct Plan - Monthly D
100077 INF740K01565 INF740K01995 DSP BlackRock Bond Fund - Dividend
100078 INF740K01557 - DSP BlackRock Bond Fund - Growth
100079 INF740K01573 INF740K01AA1 DSP BlackRock Bond Fund - Monthly Dividend
119087 - - DSP BlackRock Income Opportunities Fund - Direct P
119083 INF740K01OT2 INF740K01OU0 DSP BlackRock Income Opportunities Fund - Direct P
119082 INF740K01OS4 - DSP BlackRock Income Opportunities Fund - Direct
119084 INF740K01OV8 INF740K01OW6 DSP BlackRock Income Opportunities Fund - Direct P
119085 INF740K01OX4 INF740K01OY2 DSP BlackRock Income Opportunities Fund - Direct P
119086 - - DSP BlackRock Income Opportunities Fund - Direct
117061 INF740K01JW6 INF740K01JV8 DSP BlackRock Income Opportunities Fund - Regular
117062 INF740K01JY2 INF740K01JX4 DSP BlackRock Income Opportunities Fund - Regular
101840 - - DSP BlackRock Income Opportunities Fund - Regular
101839 INF740K01581 INF740K01AB9 DSP BlackRock Income Opportunities Fund - Regular
101837 INF740K01599 - DSP BlackRock Income Opportunities Fund - Regula
101838 - - DSP BlackRock Income Opportunities Fund - Regula
103275 - - DSP BlackRock Income Opportunities Fund - Instituti
103277 INF740K01FN3 - DSP BlackRock Income Opportunities Fund - Institut
118994 INF740K01NO5 - DSP BlackRock MIP Fund - Direct Plan - Growth
118992 INF740K01NP2 INF740K01NR8 DSP BlackRock MIP Fund - Direct Plan - Monthly Di
118993 INF740K01NQ0 INF740K01NS6 DSP BlackRock MIP Fund - Direct Plan - Quarterly D
102450 INF740K01458 INF740K01466 DSP BlackRock MIP Fund - Regular Plan - Monthly
102451 INF740K01474 INF740K01482 DSP BlackRock MIP Fund - Regular Plan - Quarterly
102448 INF740K01441 - DSP BlackRock MIP Fund- Regular Plan - Growth
119203 - - DSP BlackRock Money Manager Fund - Direct Plan -
119206 INF740K01OQ8 INF740K01OR6 DSP BlackRock Money Manager Fund - Direct Plan -
119205 INF740K01ON5 - DSP BlackRock Money Manager Fund - Direct Plan
119204 INF740K01OO3 INF740K01OP0 DSP BlackRock Money Manager Fund - Direct Plan -
119207 - - DSP BlackRock Money Manager Fund - Direct Plan -
104140 - - DSP BlackRock Money Manager Fund - Regular Plan
104138 INF740K01QQ3 - DSP BlackRock Money Manager Fund - Regular Plan
117063 INF740K01QS9 INF740K01QR1 DSP BlackRock Money Manager Fund - Regular Plan
104139 - - DSP BlackRock Money Manager Fund - Regular Plan
117995 INF740K01MK5 - DSP BlackRock Money Manager Fund - Regular Plan
104143 - - DSP BlackRock Money Manager Fund - Institutional P
104142 INF740K01FS2 - DSP BlackRock Money Manager Fund - Institutional
119222 INF740K01NK3 INF740K01NN7 DSP BlackRock Short Term Fund - Direct Plan - Div
119226 INF740K01NJ5 - DSP BlackRock Short Term Fund - Direct Plan - Gro
119224 INF740K01NL1 INF740K01NM9 DSP BlackRock Short Term Fund - Direct Plan - Mon
119223 - - DSP BlackRock Short Term Fund - Direct Plan - Wee
101303 - - DSP BlackRock Short Term Fund- Regular Plan - Re
101304 INF740K01656 - DSP BlackRock Short Term Fund- Regular Plan -Gr
101306 INF740K01664 INF740K01AG8 DSP BlackRock Short Term Fund-Monthly Dividend
101305 INF740K01649 INF740K01AF0 DSP BlackRock Short Term Fund-Regular Plan - Div
119240 - - DSP BlackRock Strategic Bond Fund - Direct Plan -
119238 INF740K01QI0 INF740K01QK6 DSP BlackRock Strategic Bond Fund - Direct Plan -
119239 INF740K01QG4 - DSP BlackRock Strategic Bond Fund - Direct Plan -
119236 INF740K01QH2 INF740K01QJ8 DSP BlackRock Strategic Bond Fund - Direct Plan -
119237 - - DSP BlackRock Strategic Bond Fund - Direct Plan -
111786 - - DSP BlackRock Strategic Bond Fund - Regular Plan -
105668 INF740K01GO9 INF740K01GN1 DSP BlackRock Strategic Bond Fund - Regular Plan
105669 INF740K01GK7 - DSP BlackRock Strategic Bond Fund - Regular Plan
105667 INF740K01GM3 INF740K01GL5 DSP BlackRock Strategic Bond Fund - Regular Plan
105878 - - DSP BlackRock Strategic Bond Fund - Regular Plan
111785 - - DSP BlackRock Strategic Bond Fund - Regular Plan -
105665 INF740K01QT7 INF740K01QW1 DSP BlackRock Strategic Bond Fund - Regular Plan
105666 INF740K01QU5 - DSP BlackRock Strategic Bond Fund - Regular Plan
105664 INF740K01698 INF740K01QX9 DSP BlackRock Strategic Bond Fund - Regular Plan
105877 - - DSP BlackRock Strategic Bond Fund - Regular Plan
133922 - - DSP BlackRock Ultra Short Term Fund - Direct Plan -
133925 INF740K013Q1 - DSP BlackRock Ultra Short Term Fund - Direct Plan
133928 INF740K014Q9 INF740K015Q6 DSP BlackRock Ultra Short Term Fund - Direct Plan
133924 INF740K016Q4 INF740K017Q2 DSP BlackRock Ultra Short Term Fund - Direct Plan
133923 - - DSP BlackRock Ultra Short Term Fund - Direct Plan
133919 - - DSP BlackRock Ultra Short Term Fund - Regular Plan
133926 INF740K018P2 - DSP BlackRock Ultra Short Term Fund - Regular Pla
133920 INF740K019P0 INF740K010Q7 DSP BlackRock Ultra Short Term Fund - Regular Pla
133921 INF740K011Q5 INF740K012Q3 DSP BlackRock Ultra Short Term Fund - Regular Plan
133927 - - DSP BlackRock Ultra Short Term Fund - Regular Pla
Edelweiss Mutual Fund

140286 INF843K01FC8 - Edelweiss Banking and PSU Debt Fund - Direct Plan
140293 INF843K01FI5 INF843K01FH7 Edelweiss Banking and PSU Debt Fund - Direct Plan
140290 INF843K01FF1 - Edelweiss Banking and PSU Debt Fund - Direct Plan
140284 INF843K01FL9 INF843K01FM7 Edelweiss Banking and PSU Debt Fund - Regular Pla
140283 INF843K01FK1 - Edelweiss Banking and PSU Debt Fund - Regular Pl
140292 INF843K01FQ8 INF843K01FP0 Edelweiss Banking and PSU Debt Fund - Regular Pla
140289 INF843K01FN5 - Edelweiss Banking and PSU Debt Fund - Regular Pla
140235 INF843K01CF8 INF843K01CG6 Edelweiss Bond Fund - Direct Plan - Dividend Optio
140237 INF843K01CE1 - Edelweiss Bond Fund - Direct Plan - Growth Option
140231 INF843K01385 INF843K01393 Edelweiss Bond Fund - Institutional Plan - Dividend
140230 INF843K01377 - Edelweiss Bond Fund - Institutional Plan - Growth O
140232 INF843K01351 INF843K01369 Edelweiss Bond Fund - Regular Plan - Dividend Opti
140229 INF843K01344 - Edelweiss Bond Fund - Regular Plan - Growth Optio
140334 INF843K01JK3 INF843K01JL1 Edelweiss Corporate Debt Opportunities Fund - Direc
140333 INF843K01JI7 - Edelweiss Corporate Debt Opportunities Fund - Direc
140346 INF843K01KB0 INF843K01JZ1 Edelweiss Corporate Debt Opportunities Fund - Regu
140337 INF843K01JU2 INF843K01JV0 Edelweiss Corporate Debt Opportunities Fund - Regu
140344 INF843K01JX6 - Edelweiss Corporate Debt Opportunities Fund - Regul
140336 INF843K01JS6 - Edelweiss Corporate Debt Opportunities Fund - Regu
140345 INF843K01KA2 INF843K01JY4 Edelweiss Corporate Debt Opportunities Fund - Regu
140343 INF843K01JW8 - Edelweiss Corporate Debt Opportunities Fund - Regu
140251 INF843K01BX3 - Edelweiss Short Term Fund - Direct Plan - Growth O
140252 INF843K01CD3 INF843K01CC5 Edelweiss Short Term Fund - Direct Plan - Monthly D
140248 INF843K01971 INF843K01989 Edelweiss Short Term Fund - Regular Plan - Dividen
140246 INF843K01401 - Edelweiss Short Term Fund - Regular Plan - Fortnigh
140244 INF843K01419 - Edelweiss Short Term Fund - Regular Plan - Growth
140247 INF843K01435 INF843K01427 Edelweiss Short Term Fund - Regular Plan - Monthly
140245 INF843K01443 - Edelweiss Short Term Fund - Regular Plan - Weekly
140222 - INF754K01FG8 Edelweiss Ultra Short Term Fund - Direct Plan - Dail
140223 INF754K01FM6 INF754K01FI4 Edelweiss Ultra Short Term Fund - Direct Plan - Fort
140220 INF754K01FD5 - Edelweiss Ultra Short Term Fund - Direct Plan - Gro
140218 INF754K01FN4 INF754K01FJ2 Edelweiss Ultra Short Term Fund - Direct Plan - Mon
140219 INF754K01FL8 INF754K01FH6 Edelweiss Ultra Short Term Fund - Direct Plan - Wee
140208 - INF754K01FR5 Edelweiss Ultra Short Term Fund - Regular Plan - Da
140214 INF754K01FB9 INF754K01FC7 Edelweiss Ultra Short Term Fund - Regular Plan - Di
140205 INF754K01GB7 INF754K01FT1 Edelweiss Ultra Short Term Fund - Regular Plan - Fo
140207 INF754K01FQ7 - Edelweiss Ultra Short Term Fund - Regular Plan - G
140206 INF754K01GC5 INF754K01FU9 Edelweiss Ultra Short Term Fund - Regular Plan - M
140209 INF754K01GA9 INF754K01FS3 Edelweiss Ultra Short Term Fund - Regular Plan - W
140200 - INF754K01FW5 Edelweiss Ultra Short Term Fund - Retail Plan - Dail
140201 INF754K01FV7 - Edelweiss Ultra Short Term Fund - Retail Plan - Gro
140204 - INF754K01FZ8 Edelweiss Ultra Short Term Fund - Retail Plan - Mon
140202 - INF754K01FX3 Edelweiss Ultra Short Term Fund - Retail Plan - Wee

Escorts Mutual Fund

100176 INF966L01036 INF966L01044 Escorts Income Bond-Dividend


120827 - INF966L01689 Escorts Income Bond-Dividend Option-Direct Plan
100177 INF966L01051 - Escorts Income Bond-Growth
120828 INF966L01663 INF966L01671 Escorts Income Bond-Growth Option-Direct Plan
100173 INF966L01101 - Escorts Income Plan-Bonus
120831 INF966L01762 - Escorts Income Plan-Bonus Option-Direct Plan
100171 INF966L01077 INF966L01085 Escorts Income Plan-Dividend
120829 INF966L01739 INF966L01747 Escorts Income Plan-Dividend Option-Direct Plan
100172 INF966L01093 - Escorts Income Plan-Growth
120830 INF966L01754 - Escorts Income Plan-Growth Option-Direct Plan

Essel Mutual Fund

119174 INF959L01551 INF959L01569 Essel 3 in 1 Fund-Direct Plan-Dividend Option-Month


119175 INF959L01577 INF959L01585 Essel 3 in 1 Fund-Direct Plan-Dividend Option-Quart
119176 INF959L01544 - Essel 3 in 1 Fund-Direct Plan-Growth Option
114854 INF959L01023 INF959L01049 Essel 3 in 1 Fund-Dividend Option-Monthly Dividend
115101 INF959L01031 INF959L01056 Essel 3 in 1 Fund-Dividend Option-Quarterly Dividen
114855 INF959L01015 - Essel 3 in 1 Fund-Growth
117836 INF959L01510 INF959L01536 ESSEL FLEXIBLE INCOME FUND - QUARTERLY D
117839 INF959L01502 INF959L01528 ESSEL FLEXIBLE INCOME FUND MONTHLY DIVI
119151 INF959L01627 - ESSEL FLEXIBLE INCOME FUND-DIRECT PLAN-
119152 INF959L01635 INF959L01643 ESSEL FLEXIBLE INCOME FUND-DIRECT PLAN-
119153 INF959L01650 INF959L01668 ESSEL FLEXIBLE INCOME FUND-DIRECT PLAN-
117810 INF959L01494 - ESSEL FLEXIBLE INCOME FUND-GROWTH
119156 INF959L01676 - Essel Income plus Fund-Direct Plan-Growth Option
119157 INF959L01684 INF959L01692 Essel Income plus Fund-Direct Plan-Monthly Dividen
119158 INF959L01700 INF959L01718 Essel Income Plus Fund-Direct Plan-Quarterly Divid
113141 INF959L01098 INF959L01106 Essel Income Plus Fund-Dividend Option-Monthly Di
113143 INF959L01114 INF959L01122 Essel Income Plus Fund-Dividend Option-Quarterly
113142 INF959L01130 - Essel Income Plus Fund-Growth
128298 - INF959L01BS5 Essel Short Term Fund- Bonus
128297 - INF959L01BR7 Essel Short Term Fund- Direct - Bonus
119169 INF959L01791 INF959L01809 Essel Short Term Fund-Direct Plan-Dividend Option-
119170 INF959L01817 INF959L01825 Essel Short Term Fund-Direct Plan-Dividend Option-
119168 INF959L01783 - Essel Short Term Fund-Direct Plan-Growth Option
113173 INF959L01148 INF959L01155 Essel Short Term Fund-Dividend Option-Monthly Div
113211 INF959L01163 INF959L01171 Essel Short Term Fund-Dividend Option-Quarterly D
113172 INF959L01189 - Essel Short Term Fund-Growth
119185 - INF959L01BL0 Essel Ultra Short Term Fund - Direct Plan-Dividend
119187 INF959L01BF2 INF959L01BG0 Essel Ultra Short Term Fund - Direct Plan-Dividend
119188 INF959L01BI6 INF959L01BJ4 Essel Ultra Short Term Fund - Direct Plan-Dividend
119186 INF959L01BC9 - Essel Ultra Short Term Fund - Direct Plan-Growth Op
112648 - INF959L01BM8 Essel Ultra Short Term Fund - Regular Plan- Daily D
112649 INF959L01BN6 INF959L01BP1 Essel Ultra Short Term Fund - Regular Plan- Monthl
112658 INF959L01BQ9 INF959L01AY5 Essel Ultra Short Term Fund - Regular Plan- Weekly
112408 INF959L01BH8 - Essel Ultra Short Term Fund - Regular Plan-Growth

Franklin Templeton Mutual Fund

129009 INF090I01KS6 INF090I01KT4 Franklin India Banking & PSU Debt Fund - Direct - D
129008 INF090I01KR8 - Franklin India Banking & PSU Debt Fund - Direct - G
129007 INF090I01KP2 INF090I01KQ0 Franklin India Banking & PSU Debt Fund - Dividend
129006 INF090I01KO5 - Franklin India Banking & PSU Debt Fund - Growth
118552 INF090I01JJ7 INF090I01JK5 Franklin India Corporate Bond Opportunities Fund - D
118553 INF090I01JL3 - Franklin India Corporate Bond Opportunities Fund - D
116154 INF090I01ES9 INF090I01ER1 Franklin India Corporate Bond Opportunities Fund -
116153 INF090I01ET7 - Franklin India Corporate Bond Opportunities Fund -
118496 INF090I01GZ9 INF090I01HA0 Franklin India Dynamic Accrual Fund - Direct - Divid
118495 INF090I01HB8 - Franklin India Dynamic Accrual Fund - Direct - Grow
100498 INF090I01BN6 INF090I01BO4 Franklin India Dynamic Accrual Fund-Dividend
100499 INF090I01BP1 - Franklin India Dynamic Accrual Fund-Growth
118570 INF090I01FX6 INF090I01FY4 Franklin India INCOME BUILDER ACCOUNT - Dire
119289 INF090I01KC0 - Franklin India INCOME BUILDER ACCOUNT - Direct
118569 INF090I01FW8 - Franklin India INCOME BUILDER ACCOUNT - Dire
118573 INF090I01FU2 INF090I01FV0 Franklin India INCOME BUILDER ACCOUNT - Dire
118571 INF090I01FQ0 INF090I01FR8 Franklin India INCOME BUILDER ACCOUNT - Dire
118572 INF090I01FS6 INF090I01FT4 Franklin India INCOME BUILDER ACCOUNT - Dire
100527 INF090I01DH4 INF090I01DI2 Franklin India Income Builder Account-Dividend
100528 INF090I01DG6 - Franklin India Income Builder Account-Growth
100531 INF090I01DN2 - Franklin India Income Builder Account-Half Yearly
100529 INF090I01DJ0 - Franklin India Income Builder Account-Monthly
100532 INF090I01DC5 - Franklin India Income Builder Account-Monthly Bonu
100530 INF090I01DL6 - Franklin India Income Builder Account-Quarterly
118555 INF090I01JG3 INF090I01JH1 Franklin India Income Opportunities Fund - Direct -
118554 INF090I01JI9 - Franklin India Income Opportunities Fund - Direct -
112305 INF090I01452 INF090I01460 Franklin India Income Opportunities Fund - Dividend
112304 INF090I01445 - Franklin India Income Opportunities Fund - Growth
118530 INF090I01HG7 - Franklin India Low Duration Fund - Direct - Growth
118528 INF090I01HC6 INF090I01HD4 Franklin India Low Duration Fund - Direct - Monthly
118529 INF090I01HE2 INF090I01HF9 Franklin India Low Duration Fund - Direct - Quarterly
113135 INF090I01BU1 - Franklin India Low Duration Fund - Growth Plan
100503 INF090I01BQ9 INF090I01BR7 Franklin India Low Duration Fund -Monthly Dividend
100504 INF090I01BS5 INF090I01BT3 Franklin India Low Duration Fund-Quarterly Dividend
119294 INF090I01KE6 - Franklin India MONTHLY INCOME PLAN - Direct -
118574 INF090I01GF1 - Franklin India MONTHLY INCOME PLAN - Direct
118575 INF090I01GG9 INF090I01GH7 Franklin India MONTHLY INCOME PLAN - Direct
118576 INF090I01GI5 INF090I01GJ3 Franklin India MONTHLY INCOME PLAN - Direct
100948 INF090I01EA7 - Franklin India Monthly Income Plan-Growth
100951 INF090I01EF6 - Franklin India Monthly Income Plan-Monthly Bonus
100949 INF090I01EB5 INF090I01EC3 Franklin India Monthly Income Plan-Monthly Dividen
100950 INF090I01ED1 INF090I01EE9 Franklin India Monthly Income Plan-Quarterly Divide
118549 INF090I01KA4 INF090I01KB2 Franklin India PENSION PLAN - Direct - Dividend
118548 INF090I01JZ3 - Franklin India PENSION PLAN - Direct - Growth
100535 INF090I01528 INF090I01536 Franklin India Pension Plan-Dividend
100536 INF090I01510 - Franklin India Pension Plan-Growth
118565 INF090I01GK1 - Franklin India SHORT TERM INCOME PLAN - Dire
118566 INF090I01GL9 INF090I01GM7 Franklin India SHORT TERM INCOME PLAN - Dire
118567 INF090I01GN5 INF090I01GO3 Franklin India SHORT TERM INCOME Retail Plan
118568 - INF090I01GP0 Franklin India SHORT TERM INCOME Retail Plan
101232 INF090I01304 - Franklin India Short-Term Income Plan-Growth
101244 INF090I01361 - Franklin India Short-Term Income Plan-Institutional
101246 INF090I01387 INF090I01395 Franklin India Short-Term Income Plan-Institutional
101236 INF090I01338 INF090I01346 Franklin India Short-Term Income Plan-Monthly Divi
101238 INF090I01312 INF090I01320 Franklin India Short-Term Income Plan-Quarterly Di
101237 INF090I01DY9 - Franklin India Short-Term Income Plan-Weekly Bonu
101242 - INF090I01353 Franklin India Short-Term Income Plan-Weekly Divi
118560 INF090I01JA6 - Franklin India Ultra Short Bond Fund - Super Instituti
118562 - INF090I01JC2 Franklin India Ultra Short Bond Fund - Super Institut
118561 - INF090I01JB4 Franklin India Ultra Sort Bond Fund - Super Institutio
107251 - INF090I01CD5 Franklin India Ultra-short Bond Fund - Institutional -
107248 INF090I01CG8 - Franklin India Ultra-short Bond Fund - Institutional -
109574 INF090I01CE3 INF090I01CF0 Franklin India Ultra-short Bond Fund - Institutional
107252 - INF090I01CH6 Franklin India Ultra-short Bond Fund - Retail - Divid
107247 INF090I01CK0 - Franklin India Ultra-short Bond Fund - Retail - Growt
109575 INF090I01CI4 INF090I01CJ2 Franklin India Ultra-short Bond Fund - Retail - Week
107250 - INF090I01CL8 Franklin India Ultra-short Bond Fund - Super Instituti
107249 INF090I01CN4 - Franklin India Ultra-short Bond Fund - Super Institut
109576 - INF090I01CM6 Franklin India Ultra-short Bond Fund - Super Institut

HDFC Mutual Fund

128626 INF179KA1JA8 INF179KA1JB6 HDFC BANKING AND PSU DEBT FUND - Direct Plan
128629 INF179KA1IZ7 - HDFC BANKING AND PSU DEBT FUND - Direct Plan
128627 INF179KA1JD2 INF179KA1JE0 HDFC BANKING AND PSU DEBT FUND - Regular Plan
128628 INF179KA1JC4 - HDFC BANKING AND PSU DEBT FUND - Regular Pla
105548 - INF179K01434 HDFC Cash Management Fund Treasury Advantage - R
105543 INF179K01459 INF179K01467 HDFC Cash Management Fund Treasury Advantage -
105547 - INF179K01541 HDFC Cash Management Fund Treasury Advantage -
105544 INF179K01491 - HDFC Cash Management Fund Treasury Advantage -
105546 INF179K01509 INF179K01517 HDFC Cash Management Fund Treasury Advantage -
105545 INF179K01525 - HDFC Cash Management Fund Treasury Advantage -
102452 INF179K01442 - HDFC Cash Management Fund Treasury Advantage -
102453 INF179K01475 INF179K01483 HDFC Cash Management Fund Treasury Advantage -R
118945 - - HDFC CM Treasury Advantage Plan -Direct Plan - Ret
118942 INF179K01VF7 - HDFC CM Treasury Advantage Plan -Direct Plan - Re
118943 INF179K01VG5 INF179K01VH3 HDFC CM Treasury Advantage Plan -Direct Plan - Re
118944 - - HDFC CM Treasury Advantage Plan -Direct Plan - Re
128051 INF179KA1FZ3 - HDFC Corporate Debt Opportunities Fund - Direct Op
128050 INF179KA1GB2 - HDFC Corporate Debt Opportunities Fund - Direct Opt
133147 INF179KA1GA4 - HDFC Corporate Debt Opportunities Fund - Direct Op
128053 INF179KA1GC0 - HDFC Corporate Debt Opportunities Fund - Regular
128052 INF179KA1GD8 INF179KA1GE6 HDFC Corporate Debt Opportunities Fund - Regular O
133148 INF179KA1I87 INF179KA1I79 HDFC Corporate Debt Opportunities Fund - Regular
101483 - INF179K01640 HDFC Floating Rate Income Fund-Short Term Plan - R
101484 INF179K01657 INF179K01665 HDFC Floating Rate Income Fund-Short Term Plan - R
101482 INF179K01681 INF179K01673 HDFC Floating Rate Income Fund-Short Term Plan - R
101481 INF179K01632 - HDFC Floating Rate Income Fund-Short Term Plan -
118959 - - HDFC Floating Rate Income Fund Short -Direct Plan
118961 INF179K01VQ4 - HDFC Floating Rate Income Fund Short -Direct Plan
118960 INF179K01VO9 INF179K01VP6 HDFC Floating Rate Income Fund Short -Direct Plan
118962 - - HDFC Floating Rate Income Fund Short -Direct Plan
106838 - INF179K01699 HDFC Floating Rate Income Fund-Short Term Plan - W
106839 INF179K01715 INF179K01723 HDFC Floating Rate Income Fund-Short Term Plan -
106840 INF179K01731 INF179K01749 HDFC Floating Rate Income Fund-Short Term Plan -
106841 INF179K01707 - HDFC Floating Rate Income Fund-Short Term Plan -
133369 INF179KA1Q95 - HDFC High Interest Fund - Dynamic Plan - Direct Pl
101874 INF179K01855 INF179K01863 HDFC High Interest Fund - Dynamic Plan - Half Year
133370 INF179KA1R11 - HDFC High Interest Fund - Dynamic Plan - Regular P
119075 INF179K01WB4 - HDFC High Interest Fund - Dynamic Plan -Direct Pla
119072 INF179K01WC2 INF179K01WD0 HDFC High Interest Fund - Dynamic Plan -Direct Plan
119073 INF179K01WE8 INF179K01WF5 HDFC High Interest Fund - Dynamic Plan -Direct Plan
119074 INF179K01WG3 INF179K01WH1 HDFC High Interest Fund - Dynamic Plan -Direct Plan
101873 INF179K01871 INF179K01889 HDFC High Interest Fund - Dynamic Plan -Quarterly
101875 INF179K01921 INF179K01939 HDFC High Interest Fund - Dynamic Plan -Yearly Di
101872 INF179K01848 - HDFC High Interest Fund - Dynamic Plan-Growth Op
119080 INF179KA1NP8 INF179KA1NO1 HDFC HIF Short Term -Direct Plan - Fortnightly Divi
119081 INF179K01WI9 - HDFC HIF Short Term -Direct Plan - Growth Option
132853 INF179KA1D90 INF179KA1D82 HDFC High Interest Fund - Short Term Plan - Direct
132852 INF179KA1E16 INF179KA1E08 HDFC High Interest Fund - Short Term Plan - Regula
101990 INF179K01897 INF179K01905 HDFC High Interest Fund - Short Term Plan-Fortnigh
101989 INF179K01913 - HDFC High Interest Fund - Short Term Plan-Growth
133365 INF179KA1Q12 - HDFC Income Fund - Direct Plan - Normal Dividend
133366 INF179KA1Q38 - HDFC Income Fund - Regular Plan - Normal Dividen
119069 INF179K01WL3 - HDFC Income Fund -Direct Plan - Growth Option
119068 INF179K01WJ7 INF179K01WK5 HDFC Income Fund -Direct Plan - Quarterly Dividen
100123 INF179K01947 INF179K01954 HDFC Income Fund- Quarterly Dividend Option
100124 INF179K01962 - HDFC Income Fund-Growth
113070 INF179K01DC2 - HDFC MEDIUM TERM OPPORTUNITES FUND - Grow
113071 INF179K01DD0 INF179K01DE8 HDFC MEDIUM TERM OPPORTUNITES FUND - Quarte
132849 INF179KA1D17 - HDFC Medium Term Opportunities Fund - Direct Opti
132848 INF179KA1D33 - HDFC Medium Term Opportunities Fund - Regular Op
118987 INF179K01XD8 - HDFC Medium Term Opportunities Fund -Direct Plan
118986 INF179K01XB2 INF179K01XC0 HDFC Medium Term Opportunities Fund -Direct Plan
119118 INF179K01XE6 - HDFC MF MIP LTP -Direct Plan - Growth Option
119119 INF179K01XF3 INF179K01XG1 HDFC MF MIP LTP -Direct Plan - Monthly Dividend
119120 INF179K01XH9 INF179K01XI7 HDFC MF MIP LTP -Direct Plan - Quarterly Dividend
119121 INF179K01XJ5 - HDFC MF MIP STP -Direct Plan - Growth Option
119122 INF179K01XK3 INF179K01XL1 HDFC MF MIP STP -Direct Plan - Monthly Dividend
119117 INF179K01XM9 INF179K01XN7 HDFC MF MIP STP-Direct Plan - Quarterly Dividend
102147 INF179K01AE4 - HDFC MF Monthly Income Plan-Long Term Plan-Gro
102148 INF179K01AA2 INF179K01AB0 HDFC MF Monthly Income Plan-Long Term Plan-Mont
102149 INF179K01AC8 INF179K01AD6 HDFC MF Monthly Income Plan-Long Term Plan-Quar
102144 INF179K01AF1 - HDFC MF Monthly Income Plan-Short Term Plan-Gro
102145 INF179K01AG9 INF179K01AH7 HDFC MF Monthly Income Plan-Short Term Plan-Mon
102146 INF179K01AI5 INF179K01AJ3 HDFC MF Monthly Income Plan-Short Term Plan-Quar
103130 INF179K01AN5 INF179K01AO3 HDFC Multiple Yield Fund - Plan 2005-Dividend
103131 INF179K01AP0 - HDFC Multiple Yield Fund - Plan 2005-Growth
119130 INF179K01XU2 INF179K01XV0 HDFC Multiple Yield Fund Plan 2005-Direct Plan - D
119131 INF179K01XW8 - HDFC Multiple Yield Fund Plan 2005-Direct Plan - G
132851 INF179KA1D58 - HDFC Regular Savings Fund - Direct Option - Norma
132850 INF179KA1D74 - HDFC Regular Savings Fund - Regular Option - Norm
119079 INF179K01YP0 - HDFC Regular Savings Fund -Direct Plan - Growth O
119078 INF179K01YN5 INF179K01YO3 HDFC Regular Savings Fund -Direct Plan - Monthly
101430 INF179K01AY2 - HDFC Regular Savings Fund-GROWTH
101431 INF179K01AW6 INF179K01AX4 HDFC Regular Savings Fund-Monthly Dividend Opti
136465 INF179KB1MJ2 - HDFC Retirement Savings Fund - Hybrid - Debt Plan
136466 INF179KB1MK0 - HDFC Retirement Savings Fund - Hybrid - Debt Plan
133368 INF179KA1Q79 - HDFC Short Term Opportunities - Regular Plan - No
133367 INF179KA1Q53 - HDFC Short Term Opportunities Fund - Direct Plan -
113048 INF179K01CV4 INF179K01CW2 HDFC SHORT TERM OPPORTUNITIES FUND - FO
113047 INF179K01CU6 - HDFC SHORT TERM OPPORTUNITIES FUND - G
119015 - - HDFC Short Term Opportunities Fund -Direct Plan - F
119016 INF179K01YM7 - HDFC Short Term Opportunities Fund -Direct Plan -

HSBC Mutual Fund

120047 - INF336L01CN5 HSBC Flexi Debt Fund - Fortnightly Dividend Direct


120048 INF336L01CO3 - HSBC Flexi Debt Fund - Growth Direct
110439 INF336L01487 INF336L01479 HSBC Flexi Debt Fund - Half Yearly Dividend
120049 INF336L01CP0 INF336L01CQ8 HSBC Flexi Debt Fund - Half-yearly Dividend Direct
120050 INF336L01CR6 INF336L01CS4 HSBC Flexi Debt Fund - Monthly Dividend Direct
110438 INF336L01529 INF336L01511 HSBC Flexi Debt Fund - Quarterly Dividend
120051 INF336L01CT2 INF336L01CU0 HSBC Flexi Debt Fund - Quarterly Dividend Direct
110440 INF336L01560 INF336L01552 HSBC Flexi Debt Fund - Regular - Half Yearly Divid
106738 - INF336L01453 HSBC Flexi Debt Fund-Fortnightly Dividend
106737 INF336L01461 - HSBC Flexi Debt Fund-Growth
106739 INF336L01503 INF336L01495 HSBC Flexi Debt Fund-Monthly Dividend
106736 INF336L01545 - HSBC Flexi Debt Fund-Reg.Growth
106741 INF336L01586 INF336L01578 HSBC Flexi Debt Fund-Reg.Monthly Dividend
106770 - INF336L01537 HSBC Flexi Debt Fund-Regular. Fortnightly Dividend
108220 INF336L01602 INF336L01594 HSBC Flexi Debt Fund-Regular. Quarterly Dividend
101686 INF336L01784 INF336L01792 HSBC Income Fund - Investment - Dividend
101685 INF336L01776 - HSBC Income Fund - Investment - Growth
101688 INF336L01834 INF336L01842 HSBC Income Fund - Investment - Inst. - Dividend
101687 INF336L01826 - HSBC Income Fund - Investment - Inst. - Growth
120059 INF336L01DE2 - HSBC Income Fund - Investment Plan - Growth Direc
101600 INF336L01990 INF336L01AA6 HSBC Income Fund - Short Term - Dividend
104429 - INF336L01982 HSBC Income Fund - Short Term - Dividend - Weekl
101599 INF336L01917 - HSBC Income Fund - Short Term - Growth
101598 INF336L01974 INF336L01AB4 HSBC Income Fund - Short Term - Inst. - Dividend
104430 - INF336L01AC2 HSBC Income Fund - Short Term - Inst. - Dividend -
101597 INF336L01966 - HSBC Income Fund - Short Term - Inst. - Growth
108363 INF336L01925 - HSBC Income Fund - Short Term - Inst. Plus - Growt
108253 INF336L01941 INF336L01933 HSBC Income Fund - Short Term - Inst. Plus - Month
108254 - INF336L01958 HSBC Income Fund - Short Term - Inst. Plus - Weekl
120060 INF336L01DM5 INF336L01EQ4 HSBC Income Fund - Short Term Plan - Dividend Dir
120062 INF336L01DL7 - HSBC Income Fund - Short Term Plan - Growth Dire
139767 INF336L01LH8 INF336L01LI6 HSBC Income Fund - Short Term Plan - Quarterly Di
139768 INF336L01LF2 INF336L01LG0 HSBC Income Fund -Short Term Plan - Quarterly Di
120061 - INF336L01DN3 HSBC Income Fund-STP -Weekly Dividend Direct
102261 INF336L01123 INF336L01131 HSBC Monthly Income Plan - Dividend - Quarterly
102260 INF336L01107 INF336L01115 HSBC Monthly Income Plan - Dividend - Monthly
102262 INF336L01099 - HSBC Monthly Income Plan - Growth
120073 INF336L01DW4 - HSBC Monthly Income Plan-Growth Direct
120074 INF336L01DX2 INF336L01DY0 HSBC Monthly Income Plan-Monthly Dividend Direct
120075 INF336L01DZ7 INF336L01EA8 HSBC Monthly Income Plan-Quarterly Dividend Direc
104348 INF336L01AJ7 INF336L01AI9 HSBC Ultra Short Term Bond Fund - Dividend - Mon
104344 INF336L01AH1 - HSBC Ultra Short Term Bond Fund - Growth
104349 - INF336L01AS8 HSBC Ultra Short Term Bond Fund - Inst. Plus - Divi
104343 - INF336L01AQ2 HSBC Ultra Short Term Bond Fund - Regular - Divi
104342 - INF336L01AO7 HSBC Ultra Short Term Bond Fund - Regular - Divid
104350 INF336L01AP4 - HSBC Ultra Short Term Bond Fund - Regular - Grow
120065 - INF336L01EF7 HSBC Ultra Short Term Bond Fund - Daily Dividend D
104351 - INF336L01AG3 HSBC Ultra Short Term Bond Fund - Dividend - Dail
120066 INF336L01EG5 - HSBC Ultra Short Term Bond Fund - Growth Direct
104346 INF336L01AN9 INF336L01AM1 HSBC Ultra Short Term Bond Fund - Inst. Plus - Div
104347 INF336L01AR0 - HSBC Ultra Short Term Bond Fund - Inst. Plus - Gro
104345 - INF336L01AK5 HSBC Ultra Short Term Bond Fund - Instutional Plus
120067 INF336L01EH3 INF336L01EI1 HSBC Ultra Short Term Bond Fund - Monthly Dividen
120063 - INF336L01EJ9 HSBC Ultra Short Term Bond Fund - Weekly Dividend
104352 - INF336L01AL3 HSBC Ultra Short Term Bond Fund- Dividend - Week

ICICI Prudential Mutual Fund

112343 INF109K01WS5 INF109K01RV9 ICICI Prudential Banking and PSU Debt Fund - Dail
112344 INF109K01WR7 INF109K01RU1 ICICI Prudential Banking and PSU Debt Fund - Wee
130897 INF109KA1B57 - ICICI Prudential Banking and PSU Debt Fund - Bonu
120257 INF109K01Z89 INF109K01Z97 ICICI Prudential Banking and PSU Debt Fund - Direct
120256 INF109K010A6 - ICICI Prudential Banking and PSU Debt Fund - Direct
120258 INF109K011A4 INF109K012A2 ICICI Prudential Banking and PSU Debt Fund - Direct
120255 INF109K013A0 INF109K014A8 ICICI Prudential Banking and PSU Debt Fund - Direc
130950 INF109KA1B40 - ICICI Prudential Banking and PSU Debt Fund - Direc
131148 INF109KA1M96 INF109KA1M88 ICICI Prudential Banking and PSU Debt Fund - Direct
112342 INF109K01RT3 - ICICI Prudential Banking and PSU Debt Fund - Grow
116174 INF109K01YE1 INF109K01YD3 ICICI Prudential Banking and PSU Debt Fund - Quart
131147 INF109KA1M70 INF109KA1M62 ICICI Prudential Banking and PSU Debt Fund Half Ye
113247 INF109K01WW7 INF109K01JM5 ICICI Prudential Banking and PSU Debt Fund Retail
113242 INF109K01II5 - ICICI Prudential Banking and PSU Debt Fund Retail
113243 INF109K01WV9 INF109K01IJ3 ICICI Prudential Banking and PSU Debt Fund Retail
103062 INF109K01EA1 INF109K01AQ5 ICICI Prudential Blended Plan B - Dividend Option -
103061 INF109K01AR3 - ICICI Prudential Blended Plan B - Growth Option - I
114376 INF109K01VV1 INF109K01ID6 ICICI Prudential Blended Plan B - Monthly Dividend
114238 INF109K01VW9 - ICICI Prudential Blended Plan B - Daily Dividend Opti
120302 INF109K015J6 INF109K016J4 ICICI Prudential Blended Plan B - Direct Plan - Divid
120300 INF109K017J2 - ICICI Prudential Blended Plan B - Direct Plan - Grow
120301 INF109K018J0 INF109K019J8 ICICI Prudential Blended Plan B - Direct Plan - Mont
131150 INF109KA1M54 INF109KA1M47 ICICI Prudential Blended Plan B - Direct Plan - Half
123542 INF109KA1CK7 INF109KA1CJ9 ICICI Prudential Blended Plan B - Direct Plan - Quart
131149 INF109KA1M39 INF109KA1M21 ICICI Prudential Blended Plan B - Half Yearly Dividen
132979 INF109KA1392 - ICICI Prudential Blended Plan B - option I-Bonus
120303 INF109K014J9 - ICICI Prudential Blended Plan B-Direct Plan - Daily
101098 INF109K01597 - ICICI Prudential Child Care Plan Study - Cumulative
120691 INF109K01Y56 - ICICI Prudential Child Care Plan Study - Direct Plan
132981 INF109KA12G3 INF109KA13G1 ICICI Prudential Corporate Bond Fund - Annual Divi
130935 INF109KA1B99 - ICICI Prudential Corporate Bond Fund - Bonus
120670 INF109K015A5 - ICICI Prudential Corporate Bond Fund - Direct Plan
120672 INF109K016A3 INF109K017A1 ICICI Prudential Corporate Bond Fund - Direct Plan -
120671 INF109K018A9 INF109K019A7 ICICI Prudential Corporate Bond Fund - Direct Plan -
130936 INF109KA1B81 - ICICI Prudential Corporate Bond Fund - Direct Plan
102741 INF109K01AH4 - ICICI Prudential Corporate Bond Fund - Growth
117330 INF109K01B53 INF109K01B61 ICICI Prudential Corporate Bond Fund - Half Yearly
113137 INF109K01UF6 INF109K01IO3 ICICI Prudential Corporate Bond Fund - Quarterly Di
132982 INF109KA10G7 INF109KA11G5 ICICI Prudential Corporate Bond Fund -Direct Plan -
113080 INF109K01UD1 INF109K01IP0 ICICI Prudential Corporate Bond Fund Plan A - Week
117706 INF109K01B87 - ICICI Prudential Corporate Bond Fund Plan B - Half
113138 INF109K01UI0 INF109K01IQ8 ICICI Prudential Corporate Bond Fund Plan B - Quart
113136 INF109K01UO8 INF109K01UN0 ICICI Prudential Corporate Bond Fund Plan C - Quart
102743 INF109K01AJ0 - ICICI Prudential Corporate Bond Fund-Plan B-Growt
131621 INF109KA15C5 INF109KA14C8 ICICI Prudential Dynamic Bond Fund - Annual Divid
122613 INF109KA1350 - ICICI Prudential Dynamic Bond Fund - Bonus
113055 INF109K01PJ8 - ICICI Prudential Dynamic Bond Fund - Daily Dividen
120584 INF109K016K2 - ICICI Prudential Dynamic Bond Fund - Direct Plan -
120582 INF109K017K0 - ICICI Prudential Dynamic Bond Fund - Direct Plan -
120581 INF109K018K8 INF109K019K6 ICICI Prudential Dynamic Bond Fund - Direct Plan -
120580 INF109K010L3 INF109K011L1 ICICI Prudential Dynamic Bond Fund - Direct Plan -
131620 INF109KA17C1 INF109KA16C3 ICICI Prudential Dynamic Bond Fund - Direct Plan -
131199 INF109KA1343 - ICICI Prudential Dynamic Bond Fund - Direct Plan -
120583 INF109K012L9 INF109K013L7 ICICI Prudential Dynamic Bond Fund - Direct Plan -
111996 INF109K01CB3 - ICICI Prudential Dynamic Bond Fund - Growth
112005 INF109K01PK6 INF109K01IY2 ICICI Prudential Dynamic Bond Fund - Half Yearly D
111997 INF109K01FE0 INF109K01CC1 ICICI Prudential Dynamic Bond Fund - Monthly Divi
112002 INF109K01RW7 - ICICI Prudential Dynamic Bond Fund - Premium Plu
111998 INF109K01FF7 INF109K01CD9 ICICI Prudential Dynamic Bond Fund - Quarterly Div
101618 INF109K01738 - ICICI Prudential Flexible Income - Daily Dividend
120397 INF109K01O66 - ICICI Prudential Flexible Income - Direct Plan - Dail
120399 INF109K01O90 INF109K01O74 ICICI Prudential Flexible Income - Direct Plan - Div
120398 INF109K01O82 - ICICI Prudential Flexible Income - Direct Plan - Gro
120396 INF109K01P08 INF109K01P16 ICICI Prudential Flexible Income - Direct Plan - Wee
122904 INF109K016Y3 INF109K015Y5 ICICI Prudential Flexible Income - Direct Plan - Fortn
122651 INF109K018Y9 INF109K017Y1 ICICI Prudential Flexible Income - Direct Plan - Mont
122982 INF109K010Z3 INF109K019Y7 ICICI Prudential Flexible Income - Direct Plan - Quar
122748 INF109K012Z9 INF109K011Z1 ICICI Prudential Flexible Income - Fortnightly Divide
101619 INF109K01746 - ICICI Prudential Flexible Income - Growth
122531 INF109K014Z5 INF109K013Z7 ICICI Prudential Flexible Income - Monthly Dividend
122995 INF109K016Z0 INF109K015Z2 ICICI Prudential Flexible Income - Quarterly Dividen
101617 INF109K01JO1 INF109K01753 ICICI Prudential Flexible Income - Weekly Dividend
130900 INF109KA1I92 - ICICI Prudential Flexible Income Plan - Bonus
130952 INF109KA1I01 - ICICI Prudential Flexible Income Plan - Direct Plan
115511 INF109K01WO4 INF109K01WN6 ICICI Prudential Flexible Income Plan - Dividend Oth
111795 INF109K01EI4 INF109K01BW1 ICICI Prudential Flexible Income Plan Retail Daily D
111794 INF109K01BX9 - ICICI Prudential Flexible Income Plan Retail Growth
111793 INF109K01EJ2 INF109K01BY7 ICICI Prudential Flexible Income Plan Retail Weekly
130932 INF109KA1C72 - ICICI Prudential Income Opportunities Fund - Bonus
120619 INF109K01V83 - ICICI Prudential Income Opportunities Fund - Direct
120617 INF109K01V59 INF109K01V67 ICICI Prudential Income Opportunities Fund - Direct
120618 INF109K01V75 INF109K01V91 ICICI Prudential Income Opportunities Fund - Direct
131480 INF109KA1X77 INF109KA1X69 ICICI Prudential Income Opportunities Fund - Direct
109741 INF109K01EU9 INF109K01BP5 ICICI Prudential Income Opportunities Fund - Divide
109743 INF109K01EV7 INF109K01BS9 ICICI Prudential Income Opportunities Fund - Divide
109740 INF109K01BO8 - ICICI Prudential Income Opportunities Fund - Growt
131481 INF109KA1X51 INF109KA1X44 ICICI Prudential Income Opportunities Fund - Half Y
109742 INF109K01BQ3 - ICICI Prudential Income Opportunities Fund- Institut
109744 INF109K01ES3 INF109K01BR1 ICICI Prudential Income Opportunities Fund- Institut
109745 INF109K01ET1 INF109K01BT7 ICICI Prudential Income Opportunities Fund- Institut
100365 INF109K01365 - ICICI Prudential Income - Growth
100367 INF109K01EZ8 INF109K01399 ICICI Prudential Income - Quarterly Dividend
131623 INF109KA11C4 INF109KA10C6 ICICI Prudential Income - Annual Dividend
122673 INF109KA1335 - ICICI Prudential Income - Bonus
120743 INF109K017L8 - ICICI Prudential Income - Direct Plan - Growth
120748 INF109K018L6 INF109K019L4 ICICI Prudential Income - Direct Plan - Half Yearly D
120747 INF109K010M1 INF109K011M9 ICICI Prudential Income - Direct Plan - Quarterly Div
100364 INF109K01EX3 INF109K01357 ICICI Prudential Income - Half Yearly Dividend
131622 INF109KA13C0 INF109KA12C2 ICICI Prudential Income Direct Plan - Annual Divide
100366 INF109K01EY1 INF109K01381 ICICI Prudential Income Plan-Institutional Quarterly
101642 INF109K01EW5 INF109K01373 ICICI Prudential Income - Institutional Dividend Halfy
101643 INF109K01407 - ICICI Prudential Income Plan-Institutional Option-Gr
106290 INF109K01KM3 - ICICI Prudential Interval Fund - Annual Interval Plan
106292 INF109K01KL5 - ICICI Prudential Interval Fund - Annual Interval Plan
130958 INF109KA1C80 - ICICI Prudential Interval Fund Annual Interval Plan -
106291 INF109K01KN1 - ICICI Prudential Interval Fund Annual Interval Plan I
120626 INF109K01K52 - ICICI Prudential Interval Fund Annual Interval Plan I
120625 INF109K01K45 - ICICI Prudential Interval Fund Annual Interval Plan I
106293 INF109K01KO9 - ICICI Prudential Interval Fund Annual Interval Plan I
106762 INF109K01KQ4 - ICICI Prudential Interval Fund - Annual Interval Plan I
106763 INF109K01KP6 - ICICI Prudential Interval Fund - Annual Interval Plan
120627 INF109K01K60 - ICICI Prudential Interval Fund Annual Interval Plan II
106760 INF109K01KS0 - ICICI Prudential Interval Fund Annual Interval Plan II
106761 INF109K01KR2 - ICICI Prudential Interval Fund Annual Interval Plan I
106778 INF109K01KU6 - ICICI Prudential Interval Fund - Annual Interval Plan I
106777 INF109K01KT8 - ICICI Prudential Interval Fund - Annual Interval Plan I
120629 INF109K01K86 - ICICI Prudential Interval Fund Annual Interval Plan II
106780 INF109K01KW2 - ICICI Prudential Interval Fund Annual Interval Plan II
106779 INF109K01KV4 - ICICI Prudential Interval Fund Annual Interval Plan II
106832 INF109K01KI1 - ICICI Prudential Interval Fund - Annual Interval Plan
106833 INF109K01KH3 - ICICI Prudential Interval Fund - Annual Interval Plan
106830 INF109K01KK7 - ICICI Prudential Interval Fund Annual Interval Plan I
120631 INF109K01L02 - ICICI Prudential Interval Fund Annual Interval Plan IV
106831 INF109K01KJ9 - ICICI Prudential Interval Fund Annual Interval Plan I
105650 INF109K01ON3 - ICICI Prudential Interval Fund - Monthly Interval Plan
105651 INF109K01OM5 - ICICI Prudential Interval Fund - Monthly Interval Plan
120635 INF109K01L36 - ICICI Prudential Interval Fund Monthly Interval Plan I
120636 INF109K01L28 - ICICI Prudential Interval Fund Monthly Interval Plan I
109680 INF109K01OL7 INF109K01OK9 ICICI Prudential Interval Fund Monthly Interval Plan I
109679 INF109K01OJ1 - ICICI Prudential Interval Fund Monthly Interval Plan
105711 INF109K01LU4 - ICICI Prudential Interval Fund - Quarterly Interval Pla
105710 INF109K01LT6 - ICICI Prudential Interval Fund - Quarterly Interval Pla
115763 INF109K01LW0 - ICICI Prudential Interval Fund Quarterly Interval Pla
120638 INF109K01L69 - ICICI Prudential Interval Fund Quarterly Interval Plan
120637 INF109K01L77 - ICICI Prudential Interval Fund Quarterly Interval Plan
111405 INF109K01LP4 - ICICI Prudential Interval Fund Quarterly Interval Pla
111406 INF109K01LR0 INF109K01LQ2 ICICI Prudential Interval Fund Quarterly Interval Pla
124214 INF109K01N75 - ICICI Prudential Interval Fund Quarterly Interval Pla
105907 INF109K01MC0 - ICICI Prudential Interval Fund - Quarterly Interval Pla
105908 INF109K01MB2 - ICICI Prudential Interval Fund - Quarterly Interval Pla
120639 INF109K01L85 - ICICI Prudential Interval Fund II Quarterly Interval -
110203 INF109K01LZ3 INF109K01LY6 ICICI Prudential Interval Fund II Quarterly Interval -
110204 INF109K01LX8 - ICICI Prudential Interval Fund II Quarterly Interval -
127399 INF109K01N91 - ICICI Prudential Interval Fund - Quarterly Interval Pl
106141 INF109K01MK3 - ICICI Prudential Interval Fund - Quarterly Interval Pla
106142 INF109K01MJ5 - ICICI Prudential Interval Fund - Quarterly Interval Pla
120654 INF109K01M19 - ICICI Prudential Interval Fund III Quarterly Interval -
120655 INF109K01M01 - ICICI Prudential Interval Fund III Quarterly Interval -
110556 INF109K01MH9 INF109K01MG1 ICICI Prudential Interval Fund III Quarterly Interval -
110555 INF109K01MF3 - ICICI Prudential Interval Fund III Quarterly Interval -
121129 INF109K015G2 - ICICI Prudential Interval Fund - Series VI - Annual In
121127 INF109K013G7 - ICICI Prudential Interval Fund - Series VI - Annual In
121126 INF109K014G5 - ICICI Prudential Interval Fund - Series VI - Annual In
121364 INF109K014Q4 - ICICI Prudential Interval Fund - Series VI - Annual In
121362 INF109K016Q9 - ICICI Prudential Interval Fund - Series VI - Annual In
121441 INF109K018Q5 - ICICI Prudential Interval Fund - Series VI - Annual In
121440 INF109K010R0 - ICICI Prudential Interval Fund - Series VI - Annual In
121442 INF109K011R8 - ICICI Prudential Interval Fund - Series VI - Annual In
127238 INF109KA1NV1 - ICICI Prudential Interval Fund - Series VII - Annual I
127236 INF109KA1NX7 - ICICI Prudential Interval Fund - Series VII - Annual I
127235 INF109KA1NW9 - ICICI Prudential Interval Fund - Series VII - Annual I
123597 INF109K01O17 - ICICI Prudential Interval Fund II - Quarterly Interval
106828 INF109K01MO5 - ICICI Prudential Interval Fund II - Quarterly Interval
106829 INF109K01MN7 - ICICI Prudential Interval Fund II - Quarterly Interval
123645 INF109K01MU2 - ICICI Prudential Interval Fund II Quarterly Interval P
120641 INF109K01M50 - ICICI Prudential Interval Fund II Quarterly Interval Pl
120642 INF109K01M43 - ICICI Prudential Interval Fund II Quarterly Interval P
110664 INF109K01MT4 INF109K01MS6 ICICI Prudential Interval Fund II Quarterly Interval P
110663 INF109K01MR8 - ICICI Prudential Interval Fund II Quarterly Interval P
117368 INF109K01MQ0 - ICICI Prudential Interval Fund II Quarterly Interval P
106885 INF109K01MW8 - ICICI Prudential Interval Fund II - Quarterly Interval
106886 INF109K01MV0 - ICICI Prudential Interval Fund II - Quarterly Interval
120644 INF109K01M76 - ICICI Prudential Interval Fund II Quarterly Interval Pl
120643 INF109K01M68 - ICICI Prudential Interval Fund II Quarterly Interval P
111317 INF109K01NB0 INF109K01NA2 ICICI Prudential Interval Fund II Quarterly Interval P
111316 INF109K01MZ1 - ICICI Prudential Interval Fund II Quarterly Interval P
118037 INF109K01NC8 - ICICI Prudential Interval Fund II Quarterly Interval
106977 INF109K01NI5 - ICICI Prudential Interval Fund II - Quarterly Interval
106976 INF109K01NH7 - ICICI Prudential Interval Fund II - Quarterly Interval
120647 INF109K01L51 - ICICI Prudential Interval Fund II Quarterly Interval Pl
120646 INF109K01L44 - ICICI Prudential Interval Fund II Quarterly Interval P
120648 INF109K01N67 - ICICI Prudential Interval Fund II Quarterly Interval P
109855 INF109K01NF1 INF109K01NE4 ICICI Prudential Interval Fund II Quarterly Interval P
109854 INF109K01ND6 - ICICI Prudential Interval Fund II Quarterly Interval P
118235 INF109K01NG9 - ICICI Prudential Interval Fund II Quarterly Interval P
107138 INF109K01NQ8 - ICICI Prudential Interval Fund II - Quarterly Interval
107139 INF109K01NP0 - ICICI Prudential Interval Fund II - Quarterly Interval
120651 INF109K01M92 - ICICI Prudential Interval Fund II Quarterly Interval Pl
120650 INF109K01O33 - ICICI Prudential Interval Fund II Quarterly Interval P
120649 INF109K01M84 - ICICI Prudential Interval Fund II Quarterly Interval P
110014 INF109K01NN5 INF109K01NM7 ICICI Prudential Interval Fund II Quarterly Interval P
110013 INF109K01NL9 - ICICI Prudential Interval Fund II Quarterly Interval P
114929 INF109K01NO3 - ICICI Prudential Interval Fund II Quarterly Interval
107309 INF109K01NU0 - ICICI Prudential Interval Fund II - Quarterly Interval
107310 INF109K01NT2 - ICICI Prudential Interval Fund II - Quarterly Interval
120653 INF109K01N18 - ICICI Prudential Interval Fund II Quarterly Interval Pl
120652 INF109K01N00 - ICICI Prudential Interval Fund II Quarterly Interval Pl
123055 INF109K01O41 - ICICI Prudential Interval Fund II Quarterly Interval P
110384 INF109K01NZ9 INF109K01NY2 ICICI Prudential Interval Fund II Quarterly Interval P
110383 INF109K01NX4 - ICICI Prudential Interval Fund II Quarterly Interval P
115927 INF109K01NW6 - ICICI Prudential Interval Fund II Quarterly Interval P
110345 INF109K01OG7 - ICICI Prudential Interval Fund IV - Quarterly Interval
110348 INF109K01OF9 - ICICI Prudential Interval Fund IV - Quarterly Interval
120624 INF109K01N59 - ICICI Prudential Interval Fund IV Quarterly Interval P
120623 INF109K01N42 - ICICI Prudential Interval Fund IV Quarterly Interval P
120811 INF109K01O58 - ICICI Prudential Interval Fund IV Quarterly Interval P
110346 INF109K01OB8 - ICICI Prudential Interval Fund IV Quarterly Interval
110347 INF109K01OD4 INF109K01OE2 ICICI Prudential Interval Fund IV Quarterly Interval
115022 INF109K01ME6 - ICICI Prudential Interval Fund Quarterly Interval Plan
110048 INF109K01OU8 - ICICI Prudential Interval Fund V - Monthly Interval Pl
110047 INF109K01OS2 - ICICI Prudential Interval Fund V - Monthly Interval P
120660 INF109K01N34 - ICICI Prudential Interval Fund V Monthly Interval Plan
120661 INF109K01N26 - ICICI Prudential Interval Fund V Monthly Interval Pla
110046 INF109K01OR4 INF109K01OQ6 ICICI Prudential Interval Fund V Monthly Interval Pla
110045 INF109K01OP8 - ICICI Prudential Interval Fund V Monthly Interval Pl
113218 INF109K01GO7 INF109K01GP4 ICICI Prudential Long Term - Annual Dividend
120601 INF109K012E4 INF109K013E2 ICICI Prudential Long Term - Direct Plan - Annual D
120600 INF109K014E0 INF109K015E7 ICICI Prudential Long Term - Direct Plan - Dividend
120603 INF109K016E5 - ICICI Prudential Long Term - Direct Plan - Growth
120602 INF109K017E3 INF109K018E1 ICICI Prudential Long Term - Direct Plan - Quarterly
112097 INF109K01GK5 INF109K01GL3 ICICI Prudential Long Term - Dividend
112096 INF109K01GN9 - ICICI Prudential Long Term - Growth
113403 INF109K01GE8 INF109K01GF5 ICICI Prudential Long Term - Quarterly Dividend
130937 INF109KA1H36 - ICICI Prudential Long Term Plan - Bonus
120604 INF109K019E9 INF109K010F5 ICICI Prudential Long Term Plan - Direct Plan - Wee
130938 INF109KA1H28 - ICICI Prudential Long Term Plan - Direct Plan Bonus
112094 INF109K01GM1 - ICICI Prudential Long Term Plan - Premium Growth
101351 INF109K01FD2 INF109K01704 ICICI Prudential Long Term Plan - Weekly Dividend
113220 INF109K01GI9 INF109K01GJ7 ICICI Prudential Long Term Plan Retail - Annual Di
101350 INF109K01712 - ICICI Prudential Long Term Plan Retail - Cumulative
113417 INF109K01GG3 INF109K01GH1 ICICI Prudential Long Term Plan Retail - Quarterly D
120669 INF109K01T79 INF109K01T87 ICICI Prudential MIP - Direct Plan - Dividend Half Ye
120667 INF109K01T95 INF109K01U01 ICICI Prudential MIP - Direct Plan - Dividend Monthl
120666 INF109K01U19 INF109K01U27 ICICI Prudential MIP - Direct Plan - Dividend Quarte
120668 INF109K01U35 - ICICI Prudential MIP - Direct Plan - Growth
130940 INF109KA1H44 - ICICI Prudential MIP - Direct Plan Bonus
100955 INF109K01FG5 INF109K01548 ICICI Prudential MIP - Dividend Half Yearly
100953 INF109K01FH3 INF109K01522 ICICI Prudential MIP - Dividend Monthly
100954 INF109K01FI1 INF109K01530 ICICI Prudential MIP - Dividend Quarterly
100952 INF109K01555 - ICICI Prudential MIP - Growth
102330 INF109K01902 - ICICI Prudential MIP - 25 - Plan - Growth
113098 INF109K01IW6 INF109K01WX5 ICICI Prudential MIP - 25 - Plan - Half Yearly Divid
102331 INF109K01ER5 INF109K01894 ICICI Prudential MIP - 25 - Plan - Monthly Dividend
113097 INF109K01IX4 INF109K01WY3 ICICI Prudential MIP - 25 - Plan - Quarterly Dividen
128110 INF109KA1319 - ICICI Prudential MIP - 25 - Plan - Bonus
120616 INF109K01S39 - ICICI Prudential MIP - 25 - Direct Plan - Growth
120613 INF109K01S47 INF109K01S54 ICICI Prudential MIP - 25 - Direct Plan - Half Yearly
120615 INF109K01S62 INF109K01S70 ICICI Prudential MIP - 25 - Direct Plan - Monthly Di
120614 INF109K01S88 INF109K01S96 ICICI Prudential MIP - 25 - Direct Plan - Quarterly D
123183 INF109KA1301 - ICICI Prudential MIP - 25 - Direct Plan - Bonus
120676 INF109K01T04 - ICICI Prudential Regular Income Fund - Direct Plan
120678 INF109K01T12 INF109K01T20 ICICI Prudential Regular Income Fund - Direct Plan -
120677 INF109K01T38 INF109K01T46 ICICI Prudential Regular Income Fund - Direct Plan -
120675 INF109K01T53 INF109K01T61 ICICI Prudential Regular Income Fund - Direct Plan -
130942 INF109KA1H69 - ICICI Prudential Regular Income Fund - Direct Plan
115092 INF109K01TP7 - ICICI Prudential Regular Income Fund - Growth
115093 INF109K01TV5 INF109K01TU7 ICICI Prudential Regular Income Fund - Half Yearly
115094 INF109K01TR3 INF109K01TQ5 ICICI Prudential Regular Income Fund - Monthly Div
115091 INF109K01TT9 INF109K01TS1 ICICI Prudential Regular Income Fund - Quarterly Di
130943 INF109KA1I27 - ICICI Prudential Regular Saving Fund - Bonus
130944 INF109KA1I19 - ICICI Prudential Regular Saving Fund - Direct Plan
134342 INF109KB1AF0 INF109KB1AG8 ICICI Prudential Regular Savings Fund - Annual Div
120711 INF109K01V00 - ICICI Prudential Regular Savings Fund - Direct Plan
120710 INF109K01V18 INF109K01V26 ICICI Prudential Regular Savings Fund - Direct Plan
120709 INF109K01V34 INF109K01V42 ICICI Prudential Regular Savings Fund - Direct Plan
134341 INF109KB1AD5 INF109KB1AE3 ICICI Prudential Regular Savings Fund - Direct Plan
114239 INF109K01GU4 - ICICI Prudential Regular Savings Fund - Growth
114241 INF109K01GX8 INF109K01GY6 ICICI Prudential Regular Savings Fund - Half Yearly
114240 INF109K01GV2 INF109K01GW0 ICICI Prudential Regular Savings Fund - Quarterly D
130899 INF109KA1I43 - ICICI Prudential Saving Fund - Bonus
101804 INF109K01AW3 - ICICI Prudential Savings Fund - Daily Dividend
120423 INF109K01P24 - ICICI Prudential Savings Fund - Direct Plan - Daily D
120426 INF109K01P65 INF109K01P32 ICICI Prudential Savings Fund - Direct Plan - Divide
120427 INF109K01P40 - ICICI Prudential Savings Fund - Direct Plan - Fortnig
120425 INF109K01P57 - ICICI Prudential Savings Fund - Direct Plan - Growth
122607 INF109K018Z6 INF109K017Z8 ICICI Prudential Savings Fund - Direct Plan - Monthl
125216 INF109KA1012 INF109K019Z4 ICICI Prudential Savings fund - Direct Plan - Quarter
120424 INF109K01P73 INF109K01P81 ICICI Prudential Savings Fund - Direct Plan - Weekl
115510 INF109K01WQ9 INF109K01WP1 ICICI Prudential Savings Fund - Dividend Others
101803 INF109K01AZ6 - ICICI Prudential Savings Fund - Fortnightly Dividend
101802 INF109K01AX1 - ICICI Prudential Savings Fund - Growth
122606 INF109KA1038 INF109KA1020 ICICI Prudential Savings Fund - Monthly Dividend
122891 INF109KA1053 INF109KA1046 ICICI Prudential Savings Fund - Quarterly Dividend
111545 INF109K01EN4 INF109K01AY9 ICICI Prudential Savings Fund - Weekly Dividend
101800 INF109K01928 - ICICI Prudential Savings Fund Plan A - Dividend Dai
101796 INF109K01910 - ICICI Prudential Savings Fund Plan A - Fortnightly D
101795 INF109K01936 - ICICI Prudential Savings Fund Plan A - Growth
111544 INF109K01EK0 INF109K01944 ICICI Prudential Savings Fund Plan A - Weekly Divi
101799 INF109K01951 - ICICI Prudential Savings Fund Plan B - Dividend Dai
101794 INF109K01969 - ICICI Prudential Savings fund Plan B - Fortnightly Di
101793 INF109K01977 - ICICI Prudential Savings Fund Plan B - Growth
111543 INF109K01EL8 INF109K01985 ICICI Prudential Savings Fund Plan B - Weekly Divi
101801 INF109K01AA9 - ICICI Prudential Savings Fund Plan C - Dividend Dai
101798 INF109K01993 - ICICI Prudential Savings Fund Plan C - Fortnightly D
101797 INF109K01AB7 - ICICI Prudential Savings Fund Plan C - Growth
111546 INF109K01EM6 INF109K01AC5 ICICI Prudential Savings Fund Plan C - Weekly Divi
122674 INF109KA1376 - ICICI Prudential Short Term - Bonus
122909 INF109KA1368 - ICICI Prudential Short Term - Direct Plan - Bonus
120753 INF109K012N5 - ICICI Prudential Short Term - Direct Plan - Dividend
120754 INF109K013N3 - ICICI Prudential Short Term - Direct Plan - Growth O
131478 INF109KA1X36 INF109KA1X28 ICICI Prudential Short Term - Direct Plan - Half Year
120755 INF109K014N1 INF109K015N8 ICICI Prudential Short Term - Direct Plan - Monthly
101758 INF109K01654 - ICICI Prudential Short Term - Growth Option
131479 INF109KA1X10 INF109KA1X02 ICICI Prudential Short Term - Half Yearly Dividend
101759 INF109K01662 - ICICI Prudential Short Term -Dividend Reinvestment
101165 INF109K01WL0 INF109K01647 ICICI Prudential Short Term - Monthly Dividend
101231 INF109K01696 - ICICI Prudential Short Term Plan-Institutional Growth
101230 INF109K01688 - ICICI Prudential Short Term Plan-Institutional Plan -
101229 INF109K01WK2 INF109K01670 ICICI Prudential Short Term Plan-Institutional Plan -
111988 INF109K01CR9 - ICICI Prudential Ultra Short Term - Daily Dividend
120695 INF109K013B8 - ICICI Prudential Ultra Short Term - Direct Plan - Dai
120696 INF109K014B6 INF109K015B3 ICICI Prudential Ultra Short Term - Direct Plan - For
120692 INF109K016B1 - ICICI Prudential Ultra Short Term - Direct Plan - Gr
120697 INF109K017B9 INF109K018B7 ICICI Prudential Ultra Short Term - Direct Plan - Mo
120693 INF109K010C2 INF109K011C0 ICICI Prudential Ultra Short Term - Direct Plan - We
111990 INF109K01SJ2 INF109K01CS7 ICICI Prudential Ultra Short Term - Fortnightly Divid
111987 INF109K01CQ1 - ICICI Prudential Ultra Short Term - Growth
111991 INF109K01SK0 INF109K01CT5 ICICI Prudential Ultra Short Term - Monthly Dividend
111989 INF109K01SL8 INF109K01SM6 ICICI Prudential Ultra Short Term - Weekly Dividend
130947 INF109KA1I84 - ICICI Prudential Ultra Short Term Plan - Bonus
131152 INF109KA1N38 INF109KA1N20 ICICI Prudential Ultra Short Term Plan - Direct Plan
120694 INF109K019B5 INF109K012C8 ICICI Prudential Ultra Short Term Plan - Direct Plan
131151 INF109KA1N12 INF109KA1N04 ICICI Prudential Ultra Short Term Plan - Half Yearly
111982 INF109K01CL2 - ICICI Prudential Ultra Short Term Plan - Premium Da
111985 INF109K01CO6 - ICICI Prudential Ultra Short Term Plan - Premium Mo
111992 INF109K01SN4 INF109K01SO2 ICICI Prudential Ultra Short Term Plan -Quarterly Di
111976 INF109K01CF4 - ICICI Prudential Ultra Short Term Plan Retail Daily D
111978 INF109K01SF0 INF109K01CH0 ICICI Prudential Ultra Short Term Plan Retail Fort Ni
111972 INF109K01CE7 - ICICI Prudential Ultra Short Term Plan Retail Growth
111979 INF109K01QM0 INF109K01CI8 ICICI Prudential Ultra Short Term Plan Retail Monthl
111980 INF109K01FQ4 INF109K01CJ6 ICICI Prudential Ultra Short Term Plan Retail Quarte
111977 INF109K01SE3 INF109K01CG2 ICICI Prudential Ultra Short Term Plan Retail Weekl

IDBI Mutual Fund

128337 INF397L01GD9 - IDBI Corporate Debt Opportunities Fund Annual Divid


128332 INF397L01FX9 - IDBI Corporate Debt Opportunities Fund Annual Divi
127181 INF397L01GG2 - IDBI Corporate Debt Opportunities Fund Growth Dire
127183 INF397L01GH0 - IDBI Corporate Debt Opportunities Fund Growth Reg
127184 INF397L01GA5 - IDBI Corporate Debt Opportunities Fund Quarterly Di
127182 INF397L01FU5 - IDBI Corporate Debt Opportunities Fund Quarterly Di
118428 INF397L01BR0 - IDBI Dynamic Bond Fund Annual Dividend Direct
116582 INF397L01638 - IDBI Dynamic Bond Fund Annual Dividend Regular
116583 INF397L01661 - IDBI Dynamic Bond Fund Growth
116811 INF397L01BN9 - IDBI Dynamic Bond Fund Growth Direct
118429 INF397L01BO7 INF397L01BP4 IDBI Dynamic Bond Fund Quarterly Dividend Direct
116810 INF397L01604 INF397L01612 IDBI Dynamic Bond Fund Quarterly Dividend Regula
114982 INF397L01315 - IDBI Monthly Income Plan Growth Option
118452 INF397L01AZ5 - IDBI Monthly Income Plan Growth Option Direct
114630 INF397L01257 INF397L01265 IDBI Monthly Income Plan Monthly Dividend Option
118453 INF397L01BA6 INF397L01BB4 IDBI Monthly Income Plan Monthly Dividend Option D
114983 INF397L01281 INF397L01299 IDBI Monthly Income Plan Quarterly Dividend Option
118454 INF397L01BD0 INF397L01BE8 IDBI Monthly Income Plan Quarterly Dividend Option
115005 INF397L01463 - IDBI Short Term Bond Fund Growth
118349 INF397L01BG3 - IDBI Short Term Bond Fund Growth Direct
114999 INF397L01406 INF397L01414 IDBI Short Term Bond Fund Monthly Dividend
118457 INF397L01BH1 INF397L01BI9 IDBI Short Term Bond Fund Monthly Dividend Direct
115000 INF397L01430 INF397L01448 IDBI Short Term Bond Fund Weekly Dividend
118458 INF397L01BK5 INF397L01BL3 IDBI Short Term Bond Fund Weekly Dividend Direct
126166 INF397L01FN0 - IDBI UST Bonus Direct
126165 INF397L01FM2 - IDBI UST Bonus Regular
113252 - INF397L01695 IDBI UST Daily Dividend
118459 - INF397L01AQ4 IDBI UST Daily Dividend Direct
113251 INF397L01745 - IDBI UST Growth
118350 INF397L01AV4 - IDBI UST Growth Direct
113254 INF397L01711 INF397L01703 IDBI UST Monthly Dividend
118460 INF397L01AS0 INF397L01AR2 IDBI UST Monthly Dividend Direct
113253 INF397L01737 INF397L01729 IDBI UST Weekly Dividend
118461 INF397L01AU6 INF397L01AT8 IDBI UST Weekly Dividend Direct

IDFC Mutual Fund

108651 - - GFRF (Dividend - Weekly)


108625 INF194K01HM1 - IDFC - SSIF - ST -Plan B - Growth
118399 INF194K01T59 INF194K01T42 IDFC Super Saver Income Fund - Medium Term Plan
118400 - INF194K01S68 IDFC Super Saver Income Fund - Medium Term Plan
118404 INF194K01T83 INF194K01T75 IDFC Super Saver Income Fund - Medium Term Plan
118401 INF194K01S50 - IDFC Super Saver Income Fund - Medium Term Pla
118402 INF194K01T26 INF194K01T18 IDFC Super Saver Income Fund - Medium Term Pla
118403 INF194K01S92 INF194K01S84 IDFC Super Saver Income Fund - Medium Term Plan
108731 INF194K01JW6 INF194K01JV8 IDFC - SSIF - Medium Term - Regular Plan-Daily Div
108729 INF194K01KI3 INF194K01KH5 IDFC - SSIF - Medium Term - Regular Plan-Fortnight
108727 INF194K01KC6 INF194K01KB8 IDFC - SSIF - Medium Term - Regular Plan-Monthly
113169 INF194K01JZ9 INF194K01JY2 IDFC - SSIF - Medium Term - Regular Plan-Quarterly
108730 INF194K01KF9 INF194K01KE2 IDFC - SSIF - Medium Term -Regular Plan- Bimonthl
108728 INF194K01JU0 - IDFC - SSIF - Medium Term -Regular Plan- Growth
131384 INF194KA1TD2 INF194KA1TE0 IDFC SSIF -MT -Direct Plan_Periodic Dividend
131385 INF194KA1TA8 INF194KA1TB6 IDFC SSIF -MT -Regular Plan_Periodic Dividend
108759 INF194K01HO7 INF194K01HN9 IDFC - SSIF - ST -Plan B - Monthly Dividend
112366 INF194K01IJ5 INF194K01II7 IDFC - SSIF - Short Term- Plan F Dividend
112367 INF194K01IH9 - IDFC - SSIF - Short Term- Plan F Growth
108713 INF194K01HK5 INF194K01HJ7 IDFC Super Saver Income Fund - Short Term -Regul
118405 INF194K01U56 INF194K01U49 IDFC Super Saver Income Fund - Short Term-Direct
118407 INF194K01U07 - IDFC Super Saver Income Fund - Short Term-Direc
118406 INF194K01U23 INF194K01U15 IDFC Super Saver Income Fund - Short Term-Direc
108716 INF194K01HR0 INF194K01HQ2 IDFC - SSIF - Short Term - Plan B - Fortnightly Divi
108714 INF194K01HV2 INF194K01HU4 IDFC - SSIF - ST - Plan C - Fortnightly Dividend
108717 INF194K01HT6 - IDFC - SSIF - ST - Plan C - Growth
108718 INF194K01HY6 INF194K01HX8 IDFC - SSIF - ST - Plan C - Monthly Dividend
108719 INF194K01IA4 - IDFC - SSIF - ST -Plan D - Growth
108720 INF194K01IF3 INF194K01IE6 IDFC - SSIF - ST -Plan D - Monthly Dividend
108715 INF194K01IC0 INF194K01IB2 IDFC - SSIF-ST-Plan D- Fortnightly Dividend
131382 INF194KA1SR4 INF194KA1SS2 IDFC SSIF -ST -Direct Plan_Periodic Dividend
131383 INF194KA1SO1 INF194KA1SP8 IDFC SSIF -ST -Regular Plan_Periodic Dividend
127471 - INF194KA1JD3 IDFC Banking & PSU Debt Fund-Direct Plan- Daily D
121281 INF194K016G6 INF194K017G4 IDFC Banking & PSU Debt Fund-Direct Plan- Divide
121934 - INF194K010N5 IDFC Banking & PSU Debt Fund-Direct Plan- Fortnig
121279 INF194K015G8 - IDFC Banking & PSU Debt Fund-Direct Plan- Growth
121935 - INF194K011N3 IDFC Banking & PSU Debt Fund-Direct Plan- Monthl
121938 INF194K018M0 - IDFC Banking & PSU Debt Fund-Direct Plan- Quarter
121933 INF194K015M6 - IDFC Banking & PSU Debt Fund-Regular Plan- Annu
127470 - INF194KA1JC5 IDFC Banking & PSU Debt Fund-Regular Plan- Daily
121282 INF194K01SO4 INF194K012D2 IDFC Banking & PSU Debt Fund-Regular Plan- Divid
121931 - INF194K016M4 IDFC Banking & PSU Debt Fund-Regular Plan- Fortni
121280 INF194K01SN6 - IDFC Banking & PSU Debt Fund-Regular Plan- Grow
121932 - INF194K017M2 IDFC Banking & PSU Debt Fund-Regular Plan- Month
121937 INF194K014M9 - IDFC Banking & PSU Debt Fund-Regular Plan- Quart
108786 INF194K01PZ6 - IDFC Dynamic Bond Fund - Growth
139202 INF194KA1R28 INF194KA1R36 IDFC CBF-Regular Plan_Monthly Dividend
139201 INF194KA1T34 INF194KA1T42 IDFC CBF_Direct Plan_Annual Dividend
135916 INF194KA1M23 - IDFC CBF_Direct Plan_Growth
139198 INF194KA1S43 INF194KA1S50 IDFC CBF_Direct Plan_Monthly Dividend
135917 INF194KA1M31 INF194KA1M49 IDFC CBF_Direct Plan_Peiodic Dividend
139199 INF194KA1S76 INF194KA1S84 IDFC CBF_Direct Plan_Quarterly Dividend
139204 INF194KA1S19 INF194KA1S27 IDFC CBF_Regular Plan_Annual Dividend
135914 INF194KA1L81 - IDFC CBF_Regular Plan_Growth
139203 INF194KA1R85 INF194KA1R93 IDFC CBF_Regular Plan_Half Yearly Dividend
135915 INF194KA1L99 INF194KA1M07 IDFC CBF_Regular Plan_Peiodic Dividend
139205 INF194KA1R51 INF194KA1R69 IDFC CBF_Regular Plan_Quarterly Dividend
140610 INF194KA1X38 INF194KA1X46 IDFC Credit Opportunities Fund-Direct Plan-Annual
140603 INF194KA1X61 - IDFC Credit Opportunities Fund-Direct Plan-Growth
140605 INF194KA1X04 INF194KA1X12 IDFC Credit Opportunities Fund-Direct Plan-Half Yea
140606 INF194KA1W47 INF194KA1W54 IDFC Credit Opportunities Fund-Direct Plan-Periodic
140604 INF194KA1W70 INF194KA1W88 IDFC Credit Opportunities Fund-Direct Plan-Quarterl
140608 INF194KA1W05 INF194KA1W13 IDFC Credit Opportunities Fund-Regular Plan-Annua
140609 INF194KA1W39 - IDFC Credit Opportunities Fund-Regular Plan-Growt
140611 INF194KA1V71 INF194KA1V89 IDFC Credit Opportunities Fund-Regular Plan-Half Y
140612 INF194KA1V14 INF194KA1V22 IDFC Credit Opportunities Fund-Regular Plan-Period
140607 INF194KA1V48 INF194KA1V55 IDFC Credit Opportunities Fund-Regular Plan-Quater
118415 INF194K01O13 INF194K01O05 IDFC Dynamic Bond Fund-Direct Plan-Annual Divid
118417 INF194K01O47 INF194K01O39 IDFC Dynamic Bond Fund-Direct Plan-Dividend
118416 INF194K01N63 - IDFC Dynamic Bond Fund-Direct Plan-Growth
122618 INF194K011P8 INF194K012P6 IDFC Dynamic Bond Fund-Direct Plan-Half Yearly D
118418 INF194K01N89 INF194K01N71 IDFC Dynamic Bond Fund-Direct Plan-Quarterly Div
122868 INF194K018R9 INF194K019R7 IDFC Dynamic Bond Fund-Regular Plan-Half Yearly
131396 INF194KA1TP6 INF194KA1TQ4 IDFC DBF -Direct Plan_Periodic Dividend
131397 INF194KA1TM3 INF194KA1TN1 IDFC DBF -Regular Plan_Periodic Dividend
111523 INF194K01QO8 INF194K01QN0 IDFC Dynamic Bond Fund -Regular Plan- DIVIDEND
111524 INF194K01QG4 - IDFC Dynamic Bond Fund -Regular Plan-GROWTH
108784 INF194K01QE9 INF194K01QD1 IDFC Dynamic Bond Fund - Annual Dividend
108554 INF194K01QB5 INF194K01QA7 IDFC Dynamic Bond Fund - Quarterly Dividend
108675 INF194K01QL4 INF194K01QK6 IDFC Dynamic Bond Fund - Regular Plan - Annual D
108561 INF194K01QI0 INF194K01QH2 IDFC Dynamic Bond Fund - Regular Plan - Quarterly
118381 - INF194K01L81 IDFC Money Manager Fund - Investment Plan -Direct
118377 INF194K01M31 INF194K01M23 IDFC Money Manager Fund - Investment Plan -Direct
118380 INF194K01M64 INF194K01M56 IDFC Money Manager Fund - Investment Plan -Direct
118382 INF194K01L65 INF194K01L57 IDFC Money Manager Fund - Investment Plan -Direct
118378 - INF194K01M07 IDFC Money Manager Fund - Investment Plan -Direc
118379 INF194K01L16 - IDFC Money Manager Fund - Investment Plan-Direct
108738 INF194K01NQ0 INF194K01NP2 IDFC Money Manager Fund-Investment Plan-Regular
108742 INF194K01NW8 INF194K01NV0 IDFC Money Manager Fund-Investment Plan-Regular
108736 INF194K01NO5 - IDFC Money Manager Fund-Investment Plan-Regula
108739 INF194K01OC8 INF194K01OB0 IDFC Money Manager Fund-Investment Plan-Regular
108737 INF194K01NT4 INF194K01NS6 IDFC Money Manager Fund-Investment Plan-Regular
108740 INF194K01NZ1 INF194K01NY4 IDFC Money Manager Fund-Investment Plan-Regular
116669 INF194K01XL0 INF194K01XM8 IDFC-Money Manager Fund-Investment -Regular Plan
109247 INF194K01NM9 INF194K01NL1 IDFC-Money Manager Fund-Investment Plan A-Weekl
108734 INF194K01NA4 INF194K01MZ3 IDFC-Money Manager Fund-Investment Plan-Annual
108732 INF194K01MY6 - IDFC-Money Manager Fund-Investment Plan-Growth
108741 INF194K01NG1 INF194K01NF3 IDFC-Money Manager Fund-Investment Plan-Plan A-D
108735 INF194K01NJ5 INF194K01NI7 IDFC-Money Manager Fund-Investment Plan-Plan A-
108733 INF194K01ND8 INF194K01NC0 IDFC-Money Manager Fund-Investment Plan-Qtrly Di
112363 INF194K01OG9 INF194K01OF1 IDFC Money Manager Fund - Investment Plan- Plan
112362 INF194K01OE4 - IDFC Money Manager Fund - Investment Plan- Plan
112313 - - IDFC-Money Manager Fund-Treasury Plan C- Regula
111922 INF194K01MN9 - IDFC-Money Manager Fund-Treasury Plan D-Growt
111923 INF194K01MP4 INF194K01MR0 IDFC-Money Manager Fund-Treasury Plan D-Daily
131388 INF194KA1TJ9 INF194KA1TK7 IDFC MMF -TP -Direct Plan_Periodic Dividend
118383 - INF194K01M98 IDFC Money Manager Fund - Treasury Plan -Direct P
118384 INF194K01M80 - IDFC Money Manager Fund - Treasury Plan -Direct
118385 INF194K01N22 INF194K01N14 IDFC Money Manager Fund - Treasury Plan -Direct P
118386 - INF194K01N48 IDFC Money Manager Fund - Treasury Plan -Direct
131389 INF194KA1TG5 INF194KA1TH3 IDFC Money Manager Fund -Treasury Plan -Regular
108701 INF194K01LR2 INF194K01LQ4 IDFC-Money Manager Fund-Treasury Plan-Regular P
108698 INF194K01MF5 INF194K01ME8 IDFC-Money Manager Fund-Treasury PlanPlan C-Dai
108697 INF194K01MD0 - IDFC-Money Manager Fund-Treasury PlanPlan C-Gr
108700 INF194K01ML3 INF194K01MK5 IDFC-Money Manager Fund-Treasury PlanPlan C-Mon
108699 INF194K01MI9 INF194K01MH1 IDFC-Money Manager Fund-Treasury PlanPlan C-We
108756 INF194K01LJ9 - IDFC-Money Manager Fund-Treasury Plan -Regular
108757 INF194K01LO9 INF194K01LN1 IDFC-Money Manager Fund-Treasury Plan- Regular
108650 INF194K01LL5 INF194K01LK7 IDFC-Money Manager Fund-Treasury Plan-Regular Pl
108676 INF194K01LT8 - IDFC-Money Manager Fund-Treasury Plan-Plan B -
108677 INF194K01LY8 INF194K01LX0 IDFC-Money Manager Fund-Treasury Plan-Plan B-Da
108679 INF194K01LV4 INF194K01LU6 IDFC-Money Manager Fund-Treasury Plan-Plan B-M
108678 INF194K01MB4 INF194K01MA6 IDFC-Money Manager Fund-Treasury Plan-Plan B-W
112365 INF194K01MW0 INF194K01MV2 IDFC-Money Manager Fund-Treasury Plan-Plan F D
112364 INF194K01MU4 - IDFC-Money Manager Fund-Treasury Plan-Plan F G
118490 INF194K017B5 INF194K016B7 IDFC Monthly Income Plan-Direct Plan-Dividend
118491 INF194K015B9 - IDFC Monthly Income Plan-Direct Plan-Growth
118492 INF194K010C8 INF194K019B1 IDFC Monthly Income Plan-Direct Plan-Quarterly Di
112352 INF194K01RY5 INF194K01RX7 IDFC Monthly Income Plan-Regular Plan-Dividend
112353 INF194K01RW9 - IDFC Monthly Income Plan-Regular Plan-Growth
113361 INF194K01SB1 INF194K01SA3 IDFC Monthly Income Plan-Regular Plan-Quarterly
111681 INF194K01KK9 - IDFC SSIF - MT (Plan B)Inst- Growth Plan
111680 INF194K01KV6 INF194K01KU8 IDFC SSIF - MT (Plan B) Inst - Dividend
113165 INF194K01KM5 INF194K01KN3 IDFC SSIF - MT (Plan B) Inst - Monthly Dividend
113166 INF194K01KS2 INF194K01KR4 IDFC SSIF - MT (Plan B) Inst - Quarterly Dividend
118395 INF194K01S01 INF194K01R93 IDFC Super Saver Income Fund - Investment Plan-D
131386 INF194KA1SX2 INF194KA1SY0 IDFC SSIF -IP -Direct Plan_Periodic Dividend
108764 INF194K01IT4 INF194K01IS6 IDFC Super Saver Income Fund - Investment Plan -
108766 INF194K01IN7 INF194K01IM9 IDFC Super Saver Income Fund - Investment Plan -R
108765 INF194K01IL1 - IDFC Super Saver Income Fund - Investment Plan -R
108763 INF194K01IQ0 INF194K01IP2 IDFC Super Saver Income Fund - Investment Plan -Re
118393 INF194K01R77 INF194K01R69 IDFC Super Saver Income Fund - Investment Plan-Di
118394 INF194K01R51 - IDFC Super Saver Income Fund - Investment Plan-Di
118396 INF194K01S35 INF194K01S27 IDFC Super Saver Income Fund - Investment Plan-Di
108768 INF194K01HF5 - IDFC Super Saver Income Fund - Short Term -Regul
108767 INF194K01HH1 INF194K01HG3 IDFC Super Saver Income Fund - Short Term -Regul
131387 INF194KA1SU8 INF194KA1SV6 IDFC Super Saver Income Fund -Investment Plan -Re
112398 INF194K01JQ8 - IDFC Super Saver Income Fund- IP-Plan F Growth
112396 INF194K01LH3 INF194K01LG5 IDFC Super Saver Income Fund- MT-Plan F Dividen
112397 INF194K01LF7 - IDFC Super Saver Income Fund- MT-Plan F Growth
111532 INF194K01JG9 INF194K01JF1 IDFC-SSIF-Investment Plan B DIVIDEND
111529 INF194K01IV0 - IDFC-SSIF-Investment Plan B- GROWTH
111761 INF194K01JK1 INF194K01JJ3 IDFC-SSIF-Investment Plan C- DIVIDEND
111762 INF194K01JI5 - IDFC-SSIF-Investment Plan C- GROWTH
118370 INF194K01K82 INF194K01K90 IDFC Ultra Short Term Fund-Direct Plan-Periodic D
118368 - INF194K01J85 IDFC Ultra Short Term Fund-Direct Plan-Daily Divid
118371 INF194K01J77 - IDFC Ultra Short Term Fund-Direct Plan-Growth
118372 INF194K01K17 INF194K01K09 IDFC Ultra Short Term Fund-Direct Plan-Monthly Di
118369 INF194K01K58 INF194K01K66 IDFC Ultra Short Term Fund-Direct Plan-Quarterly D
118373 - INF194K01K33 IDFC Ultra Short Term Fund-Direct Plan-Weekly Div
108633 INF194K01FW4 INF194K01FV6 IDFC Ultra Short Term Fund -Regular Plan- Daily Di
108632 INF194K01FU8 - IDFC Ultra Short Term Fund -Regular Plan- Growth
108635 INF194K01FZ7 INF194K01FY0 IDFC Ultra Short Term Fund -Regular Plan- Monthly
116020 INF194K01I29 INF194K01I37 IDFC Ultra Short Term Fund -Regular Plan- Periodic
116413 INF194K01UR3 INF194K01US1 IDFC Ultra Short Term Fund -Regular Plan- Quarterl
108634 INF194K01GC4 INF194K01GB6 IDFC Ultra Short Term Fund -Regular Plan- Weekly

IIFL Mutual Fund

122612 INF579M01183 - IIFL Dynamic Bond Fund - Regular Plan - Growth Op


122715 INF579M01266 - IIFL Dynamic Bond Fund Direct Plan Growth
122721 INF579M01282 INF579M01316 IIFL Dynamic Bond Fund Direct Plan Monthly Divide
122717 INF579M01290 INF579M01324 IIFL Dynamic Bond Fund Direct Plan Quarterly Divid
122711 INF579M01191 - IIFL Dynamic Bond Fund Regular Plan Bonus
122720 INF579M01225 INF579M01258 IIFL Dynamic Bond Fund Regular Plan Half Yearly D
122719 INF579M01209 INF579M01233 IIFL Dynamic Bond Fund Regular Plan Monthly Divi
122712 INF579M01217 INF579M01241 IIFL Dynamic Bond Fund Regular Plan Quarterly Div

Indiabulls Mutual Fund

121153 INF666M01642 - Indiabulls Income Fund - Direct Plan - Growth Optio


121156 INF666M01709 INF666M01675 Indiabulls Income Fund - Direct Plan - Half Yearly D
121154 INF666M01683 INF666M01659 Indiabulls Income Fund - Direct Plan - Monthly Divid
121155 INF666M01691 INF666M01667 Indiabulls Income Fund - Direct Plan - Quarterly Div
121158 INF666M01717 - Indiabulls Income Fund - Regular Plan - Growth Opti
121157 INF666M01774 INF666M01741 Indiabulls Income Fund - Regular Plan - Half Yearly
121159 INF666M01758 INF666M01725 Indiabulls Income Fund - Regular Plan - Monthly Div
121160 INF666M01766 INF666M01733 Indiabulls Income Fund - Regular Plan - Quarterly D
135689 INF666M01BK1 - Indiabulls Monthly Income Plan-Direct Plan-Growth
135690 INF666M01BL9 INF666M01BM7 Indiabulls Monthly Income Plan-Direct Plan-Monthly
135692 INF666M01BN5 - Indiabulls Monthly Income Plan-Regular Plan-Growth
135691 INF666M01BO3 INF666M01BP0 Indiabulls Monthly Income Plan-Regular Plan-Monthl
123706 INF666M01AH9 INF666M01AE6 Indiabulls Short Term Fund - Direct Plan - Fortnightl
123704 INF666M01AC0 - Indiabulls Short Term Fund - Direct Plan - Growth Op
123707 INF666M01AI7 INF666M01AF3 Indiabulls Short Term Fund - Direct Plan - Monthly D
123705 INF666M01AG1 INF666M01AD8 Indiabulls Short Term Fund - Direct Plan - Weekly D
123710 INF666M01AO5 INF666M01AL1 Indiabulls Short Term Fund - Regular Plan - Fortnigh
123708 INF666M01AJ5 - Indiabulls Short Term Fund - Regular Plan - Growth
123711 INF666M01AP2 INF666M01AM9 Indiabulls Short Term Fund - Regular Plan - Monthly
123709 INF666M01AN7 INF666M01AK3 Indiabulls Short Term Fund - Regular Plan - Weekly
116610 - INF666M01196 Indiabulls Ultra Short Term Fund - Daily Dividend Op
119144 - INF666M01634 Indiabulls Ultra Short Term Fund - Direct Plan - Dail
119146 INF666M01584 INF666M01550 Indiabulls Ultra Short Term Fund - Direct Plan - Fort
119143 INF666M01535 - Indiabulls Ultra Short Term Fund - Direct Plan - Gro
119147 INF666M01592 INF666M01568 Indiabulls Ultra Short Term Fund - Direct Plan - Mon
119145 INF666M01576 INF666M01543 Indiabulls Ultra Short Term Fund - Direct Plan - Wee
116426 INF666M01147 INF666M01113 Indiabulls Ultra Short Term Fund - Fortnightly Divide
116424 INF666M01097 - Indiabulls Ultra Short Term Fund - Growth Option
116427 INF666M01154 INF666M01121 Indiabulls Ultra Short Term Fund - Monthly Dividend
116425 INF666M01139 INF666M01105 Indiabulls Ultra Short Term Fund - Weekly Dividend

Invesco Mutual Fund

106179 INF205K01QX3 INF205K01QY1 Invesco India Active Income Fund - AnnualDividend


120500 INF205K01RA9 INF205K01RB7 Invesco India Active Income Fund - Direct Plan - An
120499 INF205K01RD3 INF205K01RE1 Invesco India Active Income Fund - Direct Plan - Dis
120497 INF205K01RF8 - Invesco India Active Income Fund - Direct Plan - Gr
120496 INF205K01RG6 INF205K01RH4 Invesco India Active Income Fund - Direct Plan - Mo
120501 INF205K01RI2 INF205K01RJ0 Invesco India Active Income Fund - Direct Plan - Qua
116109 INF205K01RK8 INF205K01RL6 Invesco India Active Income Fund - Discretionary Di
106177 INF205K01RM4 - Invesco India Active Income Fund - Growth
106171 INF205K01RN2 INF205K01RO0 Invesco India Active Income Fund - MonthlyDividend
106172 INF205K01RP7 INF205K01RQ5 Invesco India Active Income Fund - QuarterlyDividen
118234 - INF205K01JX8 Invesco India Bank Debt Fund - Daily Dividend Optio
120443 - INF205K01KS6 Invesco India Bank Debt Fund - Direct Plan - Daily
120444 INF205K01KT4 - Invesco India Bank Debt Fund - Direct Plan - Growt
120445 INF205K01KU2 INF205K01KV0 Invesco India Bank Debt Fund - Direct Plan - Month
118232 INF205K01JV2 - Invesco India Bank Debt Fund - Growth Option
118233 INF205K01JW0 INF205K01JY6 Invesco India Bank Debt Fund - Monthly Dividend Op
130722 INF205K01I83 - Invesco India Corporate Bond Opportunites Fund - Di
130724 INF205K01I91 INF205K01J17 Invesco India Corporate Bond Opportunites Fund - Di
130726 INF205K01I59 INF205K01I75 Invesco India Corporate Bond Opportunites Fund - Re
130721 INF205K01I34 - Invesco India Corporate Bond Opportunites Fund - R
130723 INF205K01I42 INF205K01I67 Invesco India Corporate Bond Opportunites Fund - R
115515 - INF205K01RU7 Invesco India Credit Opportunities Fund - Daily Divi
120506 - INF205K01RV5 Invesco India Credit Opportunities Fund - Direct Plan
120508 INF205K01RW3 INF205K01RX1 Invesco India Credit Opportunities Fund - Direct Plan
120507 INF205K01RY9 - Invesco India Credit Opportunities Fund - Direct Pla
120509 INF205K01RZ6 INF205K01SA7 Invesco India Credit Opportunities Fund - Direct Pla
116653 INF205K01SB5 INF205K01SC3 Invesco India Credit Opportunities Fund - Discretion
112123 INF205K01SD1 - Invesco India Credit Opportunities Fund - Growth
112125 INF205K01SE9 INF205K01SF6 Invesco India Credit Opportunities Fund - Monthly D
112120 INF205K01SG4 - Invesco India Credit Opportunities Fund - Regular -
112122 INF205K01SH2 INF205K01SI0 Invesco India Credit Opportunities Fund - Regular -
116488 - INF205K01UW7 Invesco India Credit Opportunities Fund - Regular Pl
114361 INF205K01TD9 INF205K01TE7 Invesco India Medium Term Bond Fund - Annual Div
136111 - INF205K018H7 Invesco India Medium Term Bond Fund - Daily Divi
120543 INF205K01TF4 INF205K01TG2 Invesco India Medium Term Bond Fund - Direct Plan
136112 - INF205K019H5 Invesco India Medium Term Bond Fund - Direct Plan
120541 INF205K01TH0 - Invesco India Medium Term Bond Fund - Direct Plan
120542 INF205K01TI8 INF205K01TJ6 Invesco India Medium Term Bond Fund - Direct Plan
120544 INF205K01TK4 INF205K01TL2 Invesco India Medium Term Bond Fund - Direct Plan
114359 INF205K01TM0 - Invesco India Medium Term Bond Fund - Growth
114362 INF205K01TN8 INF205K01TO6 Invesco India Medium Term Bond Fund - Monthly Di
114360 INF205K01TP3 INF205K01TQ1 Invesco India Medium Term Bond Fund - Quarterly D
120554 INF205K01TX7 - Invesco India Monthly Income Plan (MIP) Plus - Direc
120555 INF205K01TY5 INF205K01TZ2 Invesco India Monthly Income Plan (MIP) Plus - Dire
112887 INF205K01UA3 - Invesco India Monthly Income Plan (MIP) Plus - Gro
112888 INF205K01UB1 INF205K01UC9 Invesco India Monthly Income Plan (MIP) Plus - Mon
117973 - INF205K01UD7 Invesco India Short Term Fund - Daily Dividend
120559 - INF205K01UE5 Invesco India Short Term Fund - Direct Plan - Daily
120560 INF205K01UH8 - Invesco India Short Term Fund - Direct Plan - Growt
120561 INF205K01UI6 INF205K01UJ4 Invesco India Short Term Fund - Direct Plan - Month
120563 INF205K01UF2 INF205K01UG0 Invesco India Short Term Fund - Direct Plan -Discret
120562 - INF205K01UK2 Invesco India Short Term Fund - Direct Plan -Weekly
105185 INF205K01UN6 - Invesco India Short Term Fund - Growth
105191 INF205K01UO4 INF205K01UP1 Invesco India Short Term Fund - Monthly Dividend
105189 INF205K01UR7 - Invesco India Short Term Fund - Plan B - Growth
105187 INF205K01US5 INF205K01UT3 Invesco India Short Term Fund - Plan B - Monthly Di
105192 - INF205K01UU1 Invesco India Short Term Fund - Plan B - Weekly Di
105190 - INF205K01UV9 Invesco India Short Term Fund - Weekly Dividend
116110 INF205K01UL0 INF205K01UM8 Invesco India Short Term Fund- Discretionary Divide
105186 - INF205K01UQ9 Invesco India Short Term Fund- Plan B - Daily Divid
130794 INF205K01P35 - Invesco India Ultra Short Term Fund - Annual Bonus
104727 INF205K01IE0 - Invesco India Ultra Short Term Fund - Bonus
105025 - INF205K01HZ7 Invesco India Ultra Short Term Fund - Daily Dividend
120569 INF205K01NU6 - Invesco India Ultra Short Term Fund - Direct Plan -
120567 INF205K01NW2 INF205K01NX0 Invesco India Ultra Short Term Fund - Direct Plan - D
120570 INF205K01NY8 - Invesco India Ultra Short Term Fund - Direct Plan -
120571 INF205K01NZ5 INF205K01OA6 Invesco India Ultra Short Term Fund - Direct Plan -
120568 INF205K01OB4 INF205K01OC2 Invesco India Ultra Short Term Fund - Direct Plan -
120566 - INF205K01NV4 Invesco India Ultra Short Term Fund - Direct Plan -D
115458 INF205K01IG5 INF205K01IF7 Invesco India Ultra Short Term Fund - Discretionary
104726 INF205K01HY0 - Invesco India Ultra Short Term Fund - Growth
104729 INF205K01ID2 INF205K01IC4 Invesco India Ultra Short Term Fund - Monthly Divid
104728 INF205K01HT0 - Invesco India Ultra Short Term Fund - Regular - Gro
104723 - INF205K01HW4 Invesco India Ultra Short Term Fund - Regular - Mon
104722 - INF205K01HV6 Invesco India Ultra Short Term Fund - Regular - Wee
105024 - INF205K01HU8 Invesco India Ultra Short Term Fund - Regular Daily
104725 INF205K01IB6 INF205K01IA8 Invesco India Ultra Short Term Fund - Weekly Divid

JM Financial Mutual Fund

133414 INF192K01IL5 INF192K01IM3 JM Floater Long Term Fund (Direct) - Monthly Divid
120432 - INF192K01CZ8 JM Floater Long Term Fund - (Direct) - Daily Divide
122315 INF192K01EZ4 - JM Floater Long Term Fund - (Direct) - Bonus Option-
120434 INF192K01DB7 INF192K01DC5 JM Floater Long Term Fund - (Direct) - Dividend Opt
120435 INF192K01DD3 - JM Floater Long Term Fund - (Direct) - Growth Optio
133388 INF192K01IP6 - JM Floater Long Term Fund - (Direct) - Half Yearly B
120433 - INF192K01DA9 JM Floater Long Term Fund - (Direct) - Weekly Divi
122323 INF192K01EX9 - JM Floater Long Term Fund - Bonus Option-Principal
133389 INF192K01IN1 - JM Floater Long Term Fund - Half Yearly Bonus Optio
133390 INF192K01IJ9 INF192K01IK7 JM Floater Long Term Fund - Monthly Dividend Opti
105638 - INF192K01718 JM Floater Long Term Fund - Premium Plan - Daily
101807 INF192K01734 INF192K01742 JM Floater Long Term Fund - Premium Plan - Divide
101808 INF192K01759 - JM Floater Long Term Fund - Premium Plan - Growt
105639 - INF192K01668 JM Floater Long Term Fund - Regular Plan - Daily D
101805 INF192K01684 INF192K01692 JM Floater Long Term Fund - Regular Plan - Dividen
101806 INF192K01700 - JM Floater Long Term Fund - Regular Plan - Growth
105637 - INF192K01676 JM Floater Long Term Fund - Regular Plan - Weekly
120428 INF192K01CX3 - JM Income Fund (Direct) - Bonus Option - Principal U
120430 INF192K01CW5 - JM Income Fund (Direct) - Growth Option
120431 INF192K01CU9 INF192K01CV7 JM Income Fund (Direct) - Quarterly Dividend Option
100223 INF192K01AB3 - JM Income Fund - Growth Option
100222 INF192K01999 INF192K01AA5 JM Income Fund - Quarerly Dividend Option
101181 INF192K01AC1 - JM Income Fund - Bonus Option - Principal Units
133415 INF192K01GT2 - JM MIP Fund (Direct) - Bonus Option - Principal Unit
120442 INF192K01DI2 INF192K01DJ0 JM MIP Fund (Direct) - Dividend Option - Annual Div
120441 INF192K01DG6 INF192K01DH4 JM MIP Fund (Direct) - Dividend Option - Quarterly
120446 INF192K01DK8 - JM MIP Fund (Direct) - Growth Option
120440 INF192K01DE1 INF192K01DF8 JM MIP Fund (Direct)- Dividend Option - Monthly Di
133416 INF192K01GR6 - JM MIP Fund - Bonus Option - Principal Units
102026 INF192K01AI8 INF192K01AJ6 JM MIP FUND-Annual Dividend
102027 INF192K01AK4 - JM MIP FUND-Growth
102024 INF192K01AE7 INF192K01AF4 JM MIP FUND-Monthly Dividend
102025 INF192K01AG2 INF192K01AH0 JM MIP FUND-Quarterly Dividend
122316 INF192K01FD8 - JM Money Manager Fund - Regular Plan (Direct) - Bon
120457 - INF192K01DN2 JM Money Manager Fund - Regular Plan (Direct) - Fo
120458 INF192K01DO0 - JM Money Manager Fund - Regular Plan (Direct) - G
120454 - INF192K01DL6 JM Money Manager Fund - Regular Plan (Direct) -Dai
120455 - INF192K01DM4 JM Money Manager Fund - Regular Plan (Direct) -We
122317 INF192K01FB2 - JM Money Manager Fund - Regular Plan - Bonus Optio
104272 - INF192K01AN8 JM Money Manager Fund - Regular Plan - Dividend op
106101 - INF192K01AP3 JM Money Manager Fund - Regular Plan - Dividend op
106104 - INF192K01AO6 JM Money Manager Fund - Regular Plan - Dividend o
104271 INF192K01AQ1 - JM Money Manager Fund - Regular Plan - Growth op
122318 INF192K01FH9 - JM Money Manager Fund - Super Plan (Direct) - Bonu
120459 - INF192K01DP7 JM Money Manager Fund - Super Plan (Direct) - Dail
120462 - INF192K01DR3 JM Money Manager Fund - Super Plan (Direct) - Fort
120463 INF192K01DS1 - JM Money Manager Fund - Super Plan (Direct) - Gro
120460 - INF192K01DQ5 JM Money Manager Fund - Super Plan (Direct) - Wee
122319 INF192K01FF3 - JM Money Manager Fund - Super Plan - Bonus Option
104270 - INF192K01AR9 JM Money Manager Fund - Super Plan - Dividend opti
106100 - INF192K01AT5 JM Money Manager Fund - Super Plan - Dividend opti
106099 - INF192K01AS7 JM Money Manager Fund - Super Plan - Dividend opt
104269 INF192K01AU3 - JM Money Manager Fund - Super Plan - Growth Pla
122320 INF192K01FL1 - JM Money Manager Fund - Super Plus Plan (Direct) -
120464 - INF192K01DT9 JM Money Manager Fund - Super Plus Plan (Direct) -
120456 - INF192K01DV5 JM Money Manager Fund - Super Plus Plan (Direct) -
120461 INF192K01DW3 - JM Money Manager Fund - Super Plus Plan (Direct)
120453 - INF192K01DU7 JM Money Manager Fund - Super Plus Plan (Direct)
122321 INF192K01FJ5 - JM Money Manager Fund - Super Plus Plan - Bonus Op
104268 - INF192K01AV1 JM Money Manager Fund - Super Plus Plan - Dividend
106103 - INF192K01AX7 JM Money Manager Fund - Super Plus Plan - Dividend
106102 - INF192K01AW9 JM Money Manager Fund - Super Plus Plan - Dividen
104267 INF192K01AY5 - JM Money Manager Fund - Super Plus Plan - Growth
120469 - INF192K01DZ6 JM Short Term Fund (Direct) - Daily Dividend Option
120470 INF192K01DX1 INF192K01DY9 JM Short Term Fund (Direct) - Dividend Option
120471 INF192K01EA7 - JM Short Term Fund (Direct) - Growth Option
115103 - INF192K01BD7 JM Short Term Fund - Daily Dividend Option
101524 INF192K01BE5 INF192K01BF2 JM Short Term Fund - Dividend Option
101521 INF192K01BG0 - JM Short Term Fund - Growth Option
115090 - INF192K01AZ2 JM Short Term Fund - Regular Plan - Daily Dividend
101519 INF192K01BA3 INF192K01BB1 JM Short Term Fund - Regular Plan - Dividend Optio
101520 INF192K01BC9 - JM Short Term Fund - Regular Plan - Growth Option

Kotak Mahindra Mutual Fund

123688 INF174K01FS4 INF174K01FR6 Kotak Banking and PSU Debt - Annual Dividend
123858 - INF174K01SD9 Kotak Banking and PSU Debt - Daily Dividend Reinv
123859 INF174K01SE7 - Kotak Banking and PSU Debt - Direct Daily Dividen
123690 INF174K01FO3 - Kotak Banking and PSU Debt - Growth
123691 INF174K01FQ8 INF174K01FP0 Kotak Banking and PSU Debt - Monthly Dividend
123689 INF174K01KI5 INF174K01KJ3 Kotak Banking and PSU Debt Direct - Annual Divide
123693 INF174K01KH7 - Kotak Banking and PSU Debt Direct - Growth
123692 INF174K01KK1 INF174K01KL9 Kotak Banking and PSU Debt Direct - Monthly Divid
119734 INF174K01JD8 - Kotak Bond - Annual Dividend - Direct
119735 INF174K01JC0 - Kotak Bond - Growth - Direct
119736 INF174K01JF3 - Kotak Bond - Quaterly Dividend - Direct
100300 INF174K01EP3 INF174K01EQ1 Kotak Bond Regular Plan Annual Dividend
100301 INF174K01ER9 - Kotak Bond Regular Plan Bonus Plan
119737 INF174K01JH9 - Kotak Bond Regular Plan Bonus Plan - Direct
133301 INF174K01YN6 - Kotak Bond Regular Plan Direct HF dividend
100299 INF174K01EM0 - Kotak Bond Regular Plan Growth
100298 INF174K01EN8 INF174K01EO6 Kotak Bond Regular Plan Quaterly Dividend
100291 INF174K01EK4 INF174K01EL2 Kotak Bond-Deposit-Dividend
100292 INF174K01EJ6 - Kotak Bond-Deposit-Growth
101372 INF174K01ET5 INF174K01EU3 Kotak Bond Short Term Plan-(Dividend)
119738 INF174K01JJ5 - Kotak Bond Short Term Plan-(Dividend) - Direct
101373 INF174K01ES7 - Kotak Bond Short Term Plan-(Growth)
119739 INF174K01JI7 - Kotak Bond Short Term Plan-(Growth) - Direct
125253 INF174K01YP1 - Kotak Bond Short Term Plan-(Half Yearly Dividend)
125254 INF174K01YR7 - Kotak Bond Short Term Plan-(Half Yearly Dividend) -
133770 - - Kotak Coporate Bond Fund- Retail Plan-Growth Opti
133791 INF178L01BY0 - Kotak Corporate Bond Fund- Direct Plan- Growth Op
133792 INF178L01BZ7 - Kotak Corporate Bond Fund- Direct Plan- Monthly Di
133772 INF178L01921 - Kotak Corporate Bond Fund- Institutional Plan-Grow
133782 INF178L01BO1 - Kotak Corporate Bond Fund- Regular Plan-Growth O
133787 INF178L01BP8 - Kotak Corporate Bond Fund- Regular Plan-Monthly D
133777 INF178L01BR4 - Kotak Corporate Bond Fund- Regular Plan-Quarterly
133779 INF178L01855 - Kotak Corporate Bond Fund- Retail Plan- Monthly Di
133771 INF178L01897 - Kotak Corporate Bond Fund- Retail Plan- Weekly Di
133783 - - Kotak Corporate Bond Fund- Retail Plan-Daily Divid
133776 INF178L01BU8 - Kotak Corporate Bond Fund- Standard Plan-Daily Di
133786 - INF178L01BT0 Kotak Corporate Bond Fund- Standard Plan-Weekly
102867 - INF174K01EW9 Kotak Flexi-Debt - Regular Plan - Dividend
102868 INF174K01EV1 - Kotak Flexi-Debt - Regular Plan - Growth
102869 INF174K01EZ2 INF174K01EY5 Kotak Flexi-Debt- Regular Plan - Daily Dividend
108372 - INF174K01EX7 Kotak Flexi Debt - Regular Plan- Weekly Dividend
119754 INF174K01JW8 - Kotak Flexi Debt - Daily Dividend Direct
119755 INF174K01JU2 - Kotak Flexi Debt - Growth Direct
119753 INF174K01JX6 - Kotak Flexi Debt - Quarterly Dividend Direct
119756 INF174K01JV0 - Kotak Flexi Debt - Weekly Dividend Direct
108500 INF174K01FB0 - Kotak Flexi Debt Regular Plan Daily Dividend
108511 INF174K01FA2 - Kotak Flexi Debt Regular Plan Growth
117998 INF174K01IZ3 INF174K01IY6 Kotak Flexi Debt Regular Plan Quarterly Dividend
108512 INF174K01FC8 - Kotak Flexi Debt Regular Plan Weekly Dividend
141703 INF174K011P2 INF174K013P8 Kotak Flexi Debt Scheme-Direct Plan-Monthly Divide
141702 INF174K010P4 INF174K012P0 Kotak Flexi Debt Scheme-Regular Plan- Monthly Div
117715 INF174K01EG2 INF174K01EF4 Kotak Income Opportunities Fund - Annual Dividend
119740 INF174K01MG5 INF174K01MH3 Kotak Income Opportunities Fund - Annual Dividend -
117716 INF174K01DY7 - Kotak Income Opportunities Fund - Growth
119741 INF174K01LZ7 - Kotak Income Opportunities Fund - Growth - Direct
117717 INF174K01EC1 INF174K01EB3 Kotak Income Opportunities Fund - Monthly Dividend
119742 INF174K01MC4 INF174K01MD2 Kotak Income Opportunities Fund - Monthly Dividend
117718 INF174K01EE7 INF174K01ED9 Kotak Income Opportunities Fund - Quarterly Divide
119744 INF174K01ME0 INF174K01MF7 Kotak Income Opportunities Fund - Quaterly Direct Di
117719 INF174K01EA5 INF174K01DZ4 Kotak Income Opportunities Fund - Weekly Dividend
119743 INF174K01MA8 INF174K01MB6 Kotak Income Opportunities Fund - Weekly Dividend
133807 INF178L01236 - Kotak Low Duration - Regular Plan-Weekly Dividend
133812 INF178L01AY2 - Kotak Low Duration Fund - Direct Plan- Monthly Div
135498 INF174K01Y64 - Kotak Low Duration Fund - Regular Plan - Normal Di
133813 INF178L01BB8 - Kotak Low Duration Fund Direct Plan- Bonus Option
133810 INF178L01AX4 - Kotak Low Duration Fund- Direct Plan- Growth Optio
133811 INF178L01BA0 - Kotak Low Duration Fund- Direct Plan- Weekly Divid
133805 INF178L01202 - Kotak Low Duration Fund- Regular Plan-Growth Opt
133809 INF178L01228 - Kotak Low Duration Fund- Regular Plan-Monthly Div
133802 INF178L01160 - Kotak Low Duration Fund-Retail Plan-Growth Option
133808 INF178L01186 - Kotak Low Duration Fund-Retail Plan-Monthly Divide
133804 INF178L01194 - Kotak Low Duration Fund-Retail Plan-Weekly Divide
128078 INF174K01VP7 - Kotak Medium Term Fund - Annual Dividend
128079 INF174K01VU7 - Kotak Medium Term Fund - Direct - Annual Dividend
128008 INF174K01VT9 - Kotak Medium Term Fund - Direct - Quarterly Divide
128006 INF174K01VQ5 - Kotak Medium Term Fund - Direct Growth
128009 INF174K01VL6 - Kotak Medium Term Fund - Growth
128007 INF174K01VO0 INF174K01VM4 Kotak Medium Term Fund - Quarterly Dividend
114859 INF174K01393 - Kotak Monthly Income Plan - Growth
120154 INF174K01JZ1 - Kotak Monthly Income Plan - Growth - Direct
114858 INF174K01401 INF174K01419 Kotak Monthly Income Plan - Monthly Dividend
120155 INF174K01KA2 - Kotak Monthly Income Plan - Monthly Dividend - Dire
114860 INF174K01427 INF174K01435 Kotak Monthly Income Plan - Quarterly Dividend
120156 INF174K01KC8 - Kotak Monthly Income Plan - Quarterly Dividend - Di
114383 INF174K01989 INF174K01955 Kotak Multi Asset Allocation Fund-Annual Dividend
120159 INF174K01MN1 - Kotak Multi Asset Allocation Fund-Annual Dividend -
114382 INF174K01922 - Kotak Multi Asset Allocation Fund-Growth
120160 INF174K01MI1 - Kotak Multi Asset Allocation Fund-Growth - Direct
114385 INF174K01963 INF174K01930 Kotak Multi Asset Allocation Fund-Monthly Dividend
120161 INF174K01MJ9 - Kotak Multi Asset Allocation Fund-Monthly Dividend -
114384 INF174K01971 INF174K01948 Kotak Multi Asset Allocation Fund-Quarterly Dividen
120162 INF174K01ML5 - Kotak Multi Asset Allocation Fund-Quarterly Dividend

L&T Mutual Fund

119794 INF917K01HI3 - L&T Banking and PSU Debt Fund - Direct Plan - Mo
118080 INF677K01AI8 INF677K01AJ6 L&T Banking and PSU Debt Fund - Regular Plan - M
119796 - INF917K01HL7 L&T Banking and PSU Debt Fund - Direct Plan - Dail
119795 INF917K01HH5 - L&T Banking and PSU Debt Fund - Direct Plan - Gro
119797 - INF917K01HK9 L&T Banking and PSU Debt Fund - Direct Plan - Wee
118076 - INF677K01AF4 L&T Banking and PSU Debt Fund - Regular Plan - Da
118078 INF677K01AE7 - L&T Banking and PSU Debt Fund - Regular Plan - G
118077 INF917K01HM5 - L&T Banking and PSU Debt Fund - Regular Plan - W
134417 - - L&T Flexi Bond Fund - Direct Plan - Annual Dividend
119427 INF917K01GY2 - L&T Flexi Bond Fund - Direct Plan- Dividend
119428 INF917K01HA0 - L&T Flexi Bond Fund - Direct Plan- Growth
134418 INF917K01VP9 INF917K01VO2 L&T Flexi Bond Fund - Regular Plan - Annual Divide
118054 INF677K01924 INF677K01932 L&T Flexi Bond Fund - Regular Plan - Dividend
118053 INF677K01916 - L&T Flexi Bond Fund - Regular Plan - Growth
119432 - INF917K01FD8 L&T Floating Rate Fund - Direct Plan - Daily Dividen
119430 - INF917K01FH9 L&T Floating Rate Fund - Direct Plan - Weekly Divid
114217 - INF917K01AY5 L&T Floating Rate Fund - Regular Plan - Daily Divid
114216 INF917K01BC9 - L&T Floating Rate Fund - Regular Plan - Growth
114219 INF917K01BB1 INF917K01BA3 L&T Floating Rate Fund - Regular Plan - Monthly Di
114218 - INF917K01AZ2 L&T Floating Rate Fund - Regular Plan - Weekly Div
119431 INF917K01FE6 - L&T Floating Rate Fund -Direct Plan- Growth
119429 INF917K01FF3 - L&T Floating Rate Fund -Direct Plan- Monthly Divid
119785 INF917K01UJ4 INF917K01UI6 L&T Income Opportunities Fund - Direct Plan - Divid
134332 INF917K01UL0 INF917K01UK2 L&T Income Opportunities Fund - Direct Plan -Annua
134331 INF917K01UN6 INF917K01UM8 L&T Income Opportunities Fund - Regular Plan - Ann
112632 INF917K01130 - L&T Income Opportunities Fund - Regular Plan - Gr
119786 INF917K01UH8 - L&T Income Opportunities Fund- Direct Plan - Growt
112630 INF917K01CU9 - L&T Income Opportunities Fund- Regular Plan - Bon
112631 INF917K01114 INF917K01122 L&T Income Opportunities Fund- Regular Plan - Div
112487 INF917K01056 - L&T Monthly Income Plan - Regular Plan - Growth
119852 INF917K01GF1 - L&T Monthly Income Plan -Direct Plan- Growth
119853 INF917K01GH7 INF917K01GG9 L&T Monthly Income Plan-Direct Plan-Monthly Divid
112488 INF917K01031 INF917K01049 L&T Monthly Income Plan-Regular Plan - Monthly Di
119854 INF917K01GJ3 INF917K01GI5 L&T Monthly Income Plan -Direct Plan-Quarterly Div
112489 INF917K01064 INF917K01072 L&T Monthly Income Plan -Regular Plan -Quarterly D
134425 INF917K01WF8 INF917K01WC5 L&T Resurgent India Corporate Bond Fund - Direct P
133606 INF917K01TM0 INF917K01TL2 L&T Resurgent India Corporate Bond Fund - Direct P
133604 INF917K01TK4 - L&T Resurgent India Corporate Bond Fund - Direct P
134426 INF917K01WE1 INF917K01WD3 L&T Resurgent India Corporate Bond Fund - Regular
133605 INF917K01TJ6 INF917K01TI8 L&T Resurgent India Corporate Bond Fund - Regular
133607 INF917K01TH0 - L&T Resurgent India Corporate Bond Fund - Regular
134421 - - L&T Short Term Income Fund - Direct Plan - Annual
134422 INF917K01VX3 INF917K01VW5 L&T Short Term Income Fund - Regular Plan - Annua
119808 INF917K01GK1 - L&T Short Term Income Fund-Direct Plan-Dividend
119809 INF917K01GM7 - L&T Short Term Income Fund-Direct Plan-Growth
118134 INF677K01460 INF677K01478 L&T Short Term Income Fund-Regular Plan - Divide
118133 INF677K01452 - L&T Short Term Income Fund-Regular Plan - Growth
134419 INF917K01VR5 INF917K01VQ7 L&T Short Term Opportunities Fund - Direct Plan - A
119858 INF917K01IS0 INF917K01IR2 L&T Short Term Opportunities Fund - Direct Plan - Q
134420 INF917K01VT1 INF917K01VS3 L&T Short Term Opportunities Fund - Regular Plan -
116296 INF917K01CM6 - L&T Short Term Opportunities Fund - Regular Plan
116299 INF917K01CL8 - L&T Short Term Opportunities Fund - Regular Plan -
116297 INF917K01CH6 INF917K01CI4 L&T Short Term Opportunities Fund - Regular Plan -
116298 INF917K01CJ2 INF917K01CK0 L&T Short Term Opportunities Fund - Regular Plan -
119857 INF917K01IP6 INF917K01IO9 L&T Short Term Opportunities Fund -Direct Plan - M
119855 - - L&T Short Term Opportunities Fund -Direct Plan - B
119856 INF917K01IQ4 - L&T Short Term Opportunities Fund -Direct Plan- Gr
119844 INF917K01HN3 - L&T Triple Ace Bond Fund - Direct Plan -Growth
119846 INF917K01HR4 INF917K01HQ6 L&T Triple Ace Bond Fund - Direct Plan -Semi Annua
134424 INF917K01WB7 INF917K01WA9 L&T Triple Ace Bond Fund - Regular Plan - Annual D
112414 INF917K01AF4 INF917K01AG2 L&T Triple Ace Bond Fund - Regular Plan - Quarterl
119847 INF917K01HP8 INF917K01HO1 L&T Triple Ace Bond Fund -Direct Plan- Quarterly Di
112420 INF917K01AK4 - L&T Triple Ace Bond Fund -Regular Plan - Bonus
112416 INF917K01AI8 INF917K01AJ6 L&T Triple Ace Bond Fund -Regular Plan - Semi Ann
112410 INF917K01AH0 - L&T Triple Ace Bond Fund-Regular Plan-Growth
129925 INF917K01QK0 - L&T Ultra Short Term Fund - Direct Plan - Bonus
134705 INF917K01HW4 INF917K01HV6 L&T Ultra Short Term Fund - Direct Plan - Semi Ann
129926 INF917K01QJ2 - L&T Ultra Short Term Fund - Regular Plan - Bonus
112423 INF917K01AS7 - L&T Ultra Short Term Fund - Regular Plan - Growth
112422 INF917K01AN8 - L&T Ultra Short Term Fund -Regular - Cumulative
119848 - INF917K01HX2 L&T Ultra Short Term Fund- Direct Plan - Daily Divi
119850 INF917K01HZ7 INF917K01HY0 L&T Ultra Short Term Fund- Direct Plan- Weekly Div
112425 - INF917K01AX7 L&T Ultra Short Term Fund- Regular Plan - Daily Div
119849 INF917K01HS2 - L&T Ultra Short Term Fund-Direct Plan - Growth
112424 INF917K01AV1 INF917K01AW9 L&T Ultra Short Term Fund-Regular Plan - Weekly D
112461 INF917K01AO6 INF917K01AP3 L&T Ultra Short Term Fund - Regular Plan -Semi An
112475 INF917K01AQ1 INF917K01AR9 L&T Ultra Short Term Fund - Regular Plan - Monthly
119851 INF917K01HU8 INF917K01HT0 L&T Ultra Short Term Fund-Direct Plan -Monthly Div

LIC Mutual Fund

120278 INF767K01EV2 INF767K01EX8 LIC MF Bond Fund-Direct Plan-Dividend


120279 INF767K01EW0 - LIC MF Bond Fund-Direct Plan-Growth
100314 INF767K01907 INF767K01915 LIC MF Bond Fund-Regular Plan-Dividend
100315 INF767K01923 - LIC MF Bond Fund-Regular Plan-Growth
120337 INF767K01GJ2 INF767K01GM6 LIC MF Income Plus Fund-Direct Plan-Daily Dividen
120338 INF767K01GI4 - LIC MF Income Plus Fund-Direct Plan-Growth
120339 INF767K01GK0 INF767K01GN4 LIC MF Income Plus Fund-Direct Plan-Monthly Divid
120336 INF767K01GL8 INF767K01GO2 LIC MF Income Plus Fund-Direct Plan-Weekly Divid
105822 INF767K01519 INF767K01527 LIC MF Income Plus Fund-Regular Plan-Daily Divid
105823 INF767K01535 - LIC MF Income Plus Fund-Regular Plan-Growth
105856 INF767K01543 INF767K01550 LIC MF Income Plus Fund-Regular Plan-Monthly Div
105857 INF767K01568 INF767K01576 LIC MF Income Plus Fund-Regular Plan-Weekly Div
120276 INF767K01EO7 - LIC MF Monthly Income Plan-Direct Plan-Growth
120277 INF767K01EP4 INF767K01ES8 LIC MF Monthly Income Plan-Direct Plan-Monthly Di
120274 INF767K01EQ2 INF767K01ET6 LIC MF Monthly Income Plan-Direct Plan-Quarterly D
120275 INF767K01ER0 INF767K01EU4 LIC MF Monthly Income Plan-Direct Plan-Yearly Div
101869 INF767K01808 - LICMF Monthly Income Plan-Regular Plan-Growth
101866 INF767K01816 INF767K01824 LICMF Monthly Income Plan-Regular Plan-Monthly D
101867 INF767K01832 INF767K01840 LICMF Monthly Income Plan-Regular Plan-Quarterly
101868 INF767K01857 INF767K01865 LICMF Monthly Income Plan-Regular Plan-Yearly Di
120316 INF767K01FL0 INF767K01FN6 LIC MF Savings Plus Fund-Direct Plan-Daily Dividen
120315 INF767K01FM8 - LIC MF Savings Plus Fund-Direct Plan-Growth
120317 INF767K01FP1 INF767K01FO4 LIC MF Savings Plus Fund-Direct Plan-Monthly Divi
120318 INF767K01JJ6 INF767K01JK4 LIC MF Savings Plus Fund-Direct Plan-Weekly Divid
111676 INF767K01AK3 INF767K01AL1 LIC MF Savings Plus Fund-Regular Plan-Daily Divid
101830 INF767K01AO5 - LIC MF Savings Plus Fund-Regular Plan-Growth
101829 INF767K01AM9 INF767K01AN7 LIC MF Savings Plus Fund-Regular Plan-Monthly Di
111675 INF767K01AP2 INF767K01AQ0 LIC MF Savings Plus Fund-Regular Plan-Weekly Div

Mahindra Mutual Fund

140613 INF174V01267 - Mahindra Mutual Fund Alp Samay Bachat Yojana - Di


140617 - INF174V01275 Mahindra Mutual Fund Alp Samay Bachat Yojana - Di
140619 INF174V01309 INF174V01291 Mahindra Mutual Fund Alp Samay Bachat Yojana - Di
140618 - INF174V01283 Mahindra Mutual Fund Alp Samay Bachat Yojana - Di
140614 - INF174V01226 Mahindra Mutual Fund Alp Samay Bachat Yojana - Re
140620 INF174V01218 - Mahindra Mutual Fund Alp Samay Bachat Yojana - R
140616 INF174V01259 INF174V01242 Mahindra Mutual Fund Alp Samay Bachat Yojana - Re
140615 - INF174V01234 Mahindra Mutual Fund Alp Samay Bachat Yojana - Re

Mirae Asset Mutual Fund

140770 INF769K01DS6 INF769K01DT4 Mirae Asset Dynamic Bond Fund -Direct Plan -Divid
140769 INF769K01DR8 - Mirae Asset Dynamic Bond Fund -Direct Plan -Growt
140772 INF769K01DP2 INF769K01DQ0 Mirae Asset Dynamic Bond Fund -Regular Plan -Div
140771 INF769K01DO5 - Mirae Asset Dynamic Bond Fund-Regular Plan Grow
107701 - INF769K01994 Mirae Asset Savings Bond Fund-Regular Savings Pl
118843 - INF769K01BR2 Mirae Asset Savings Fund - Direct Plan - Daily Divid
118840 INF769K01BO9 - Mirae Asset Savings Fund - Direct Plan - Growth
118841 INF769K01BP6 INF769K01BT8 Mirae Asset Savings Fund - Direct Plan - Monthly Di
118842 INF769K01BQ4 INF769K01BU6 Mirae Asset Savings Fund - Direct Plan - Quarterly
118844 - INF769K01BS0 Mirae Asset Savings Fund - Direct Plan - Weekly Di
107698 - INF769K01895 Mirae Asset Savings Fund-Regular Plan- Daily Divid
107695 INF769K01846 - Mirae Asset Savings Fund-Regular Plan- Growth
107697 INF769K01879 INF769K01911 Mirae Asset Savings Fund-Regular Plan- Monthly Di
107699 INF769K01887 INF769K01929 Mirae Asset Savings Fund-Regular Plan- Quarterly D
107696 - INF769K01903 Mirae Asset Savings Fund-Regular Plan- Weekly Div
107705 INF769K01937 - Mirae Asset Savings Fund-Regular Savings Plan- G
107704 INF769K01960 INF769K01AA0 Mirae Asset Savings Fund-Regular Savings Plan- Mo
107702 INF769K01978 INF769K01AB8 Mirae Asset Savings Fund-Regular Savings Plan- Qua
107700 - INF769K01986 Mirae Asset SavingsFund-Regular Savings Plan- Dai
112020 INF769K01226 - Mirae Asset Short Term Bond Fund - Regular - Mly D

Motilal Oswal Mutual Fund

124234 INF247L01247 - MOSt Ultra Short Term Bond Fund-Direct Plan- Gro
124316 - INF247L01346 MOSt Ultra Short Term Bond Fund-Direct Plan-Daily
124311 - INF247L01361 MOSt Ultra Short Term Bond Fund-Direct Plan-Fortni
124308 INF247L01395 INF247L01379 MOSt Ultra Short Term Bond Fund-Direct Plan-Month
124312 INF247L01403 INF247L01387 MOSt Ultra Short Term Bond Fund-Direct Plan-Quart
124306 - INF247L01353 MOSt Ultra Short Term Bond Fund-Direct Plan-Weekl
124233 INF247L01213 - MOSt Ultra Short Term Bond Fund-Regular Plan- Gr
124303 - INF247L01270 MOSt Ultra Short Term Bond Fund-Regular Plan-Dail
124313 - INF247L01296 MOSt Ultra Short Term Bond Fund-Regular Plan-Fort
124315 INF247L01320 INF247L01304 MOSt Ultra Short Term Bond Fund-Regular Plan-Mon
124305 INF247L01338 INF247L01312 MOSt Ultra Short Term Bond Fund-Regular Plan-Quar
124310 - INF247L01288 MOSt Ultra Short Term Bond Fund-Regular Plan-Wee

PRINCIPAL Mutual Fund

119450 INF173K01FX6 - Principal Credit Opportunities Fund - Direct Plan - G


119449 INF173K01FY4 INF173K01FZ1 Principal Credit Opportunities Fund - Direct Plan - M
102729 INF173K01BI6 - Principal Credit Opportunities Fund - Regular Plan -
102732 INF173K01BJ4 INF173K01BK2 Principal Credit Opportunities Fund - Regular Plan -
119479 INF173K01HM5 - Principal Debt Savings Fund - Direct Plan -Growth
102169 INF173K01312 INF173K01320 Principal Debt Savings Fund - Dividend - Monthly
102170 INF173K01338 INF173K01346 Principal Debt Savings Fund - Dividend - Quarterly
102171 INF173K01288 - Principal Debt Savings Fund -Growth
119460 INF173K01GI5 INF173K01GJ3 Principal Dynamic Bond Fund - Direct Plan - Dividen
119461 INF173K01GL9 - Principal Dynamic Bond Fund - Direct Plan - Growth
100960 INF173K01AX7 INF173K01AY5 Principal Dynamic Bond Fund - Dividend Option -An
100963 INF173K01AT5 - Principal Dynamic Bond Fund - Growth Option
100961 INF173K01AU3 INF173K01AV1 Principal Dynamic Bond Fund -Dividend Option - Qua
119459 INF173K01GM7 INF173K01GN5 Principal Dynamic Bond Fund- Direct Plan - Dividend
119445 - INF173K01FR8 Principal Low Duration Fund - Direct Plan - Daily Di
119448 INF173K01FS6 - Principal Low Duration Fund - Direct Plan - Growth O
119447 INF173K01FT4 INF173K01FU2 Principal Low Duration Fund - Direct Plan - Monthly
119446 - INF173K01FW8 Principal Low Duration Fund - Direct Plan - Weekly
102723 - INF173K01DI2 Principal Low Duration Fund - Weekly Dividend Opti
105461 - INF173K01DH4 Principal Low Duration Fund -Daily Dividend Option
102722 INF173K01DG6 - Principal Low Duration Fund- Growth Option
102724 INF173K01DJ0 INF173K01DK8 Principal Low Duration Fund- Monthly Dividend Opti
119475 INF173K01HK9 INF173K01HJ1 Principal Money Manager Fund- Direct Plan - Divide
119474 INF173K01HI3 - Principal Money Manager Fund- Direct Plan -Growth
107329 - INF173K01CV7 Principal Money Manager Fund-Daily Dividend Optio
107328 INF173K01BY3 - Principal Money Manager Fund-Growth Option
107330 INF173K01CB9 INF173K01CC7 Principal Money Manager Fund-Monthly Dividend Op
107332 - INF173K01CW5 Principal Money Manager Fund-Weekly Dividend Opt
119463 INF173K01GQ8 INF173K01GR6 Principal Short Term Income Fund - Direct Plan - Div
101466 INF173K01BB1 INF173K01BC9 Principal Short Term Income Fund - Dividend Option
119462 INF173K01GP0 - Principal Short Term Income Fund- Direct Plan - Gr
101465 INF173K01BA3 - Principal Short Term Income Fund- Growth Plan

Quantum Mutual Fund

134494 INF082J01176 - Quantum Dynamic Bond Fund - Direct Plan Growth


134493 INF082J01184 INF082J01192 Quantum Dynamic Bond Fund - Direct Plan Monthly
141061 INF082J01218 - Quantum Dynamic Bond Fund - Regular Plan Growth
141060 INF082J01226 INF082J01234 Quantum Dynamic Bond Fund - Regular Plan Monthly

Reliance Mutual Fund

134551 INF204KA1T98 INF204KA1U04 Reliance Banking & PSU Debt Fund -Quarterly Divi
134555 INF204KA1U79 INF204KA1U87 Reliance Banking & PSU Debt Fund- Direct Plan-Di
134552 INF204KA1U61 - Reliance Banking & PSU Debt Fund- Direct Plan-Gr
134547 INF204KA1U53 - Reliance Banking & PSU Debt Fund- Direct Plan-Gr
134550 INF204KA1V37 INF204KA1V45 Reliance Banking & PSU Debt Fund- Direct Plan-Mo
134556 INF204KA1U95 INF204KA1V03 Reliance Banking & PSU Debt Fund- Direct Plan-Qua
134554 INF204KA1V11 INF204KA1V29 Reliance Banking & PSU Debt Fund- Direct Plan-We
134548 INF204KA1T72 INF204KA1T80 Reliance Banking & PSU Debt Fund- Dividend Plan
134546 INF204KA1T64 - Reliance Banking & PSU Debt Fund- Growth Plan-
134545 INF204KA1T56 - Reliance Banking & PSU Debt Fund- Growth Plan-
134549 INF204KA1U38 INF204KA1U46 Reliance Banking & PSU Debt Fund- Monthly Divid
134553 INF204KA1U12 INF204KA1U20 Reliance Banking & PSU Debt Fund- Weekly Divide
130051 INF204KA1QA2 - Reliance Corporate Bond Fund - Bonus Option
130052 INF204KA1QG9 - Reliance Corporate Bond Fund - Direct Plan - Bonus
130054 INF204KA1QH7 INF204KA1QJ3 Reliance Corporate Bond Fund - Direct Plan - Divide
130050 INF204KA1QF1 - Reliance Corporate Bond Fund - Direct Plan - Growt
130055 INF204KA1QI5 INF204KA1QK1 Reliance Corporate Bond Fund - Direct Plan - Quarte
130053 INF204KA1QB0 INF204KA1QD6 Reliance Corporate Bond Fund - Dividend Plan
130037 INF204KA1PZ1 - Reliance Corporate Bond Fund - Growth Option
130056 INF204KA1QC8 INF204KA1QE4 Reliance Corporate Bond Fund - Quarterly Dividend
118750 INF204K01A33 INF204K01A41 Reliance Dynamic Bond Fund - Direct Plan Dividend
118747 INF204K01A25 - Reliance Dynamic Bond Fund - Direct Plan Growth P
118749 INF204K01A58 INF204K01A66 Reliance Dynamic Bond Fund - Direct Plan Quarterly
102851 INF204K01FJ8 INF204K01FK6 Reliance Dynamic Bond Fund-Dividend Plan
102849 INF204K01FI0 - Reliance Dynamic Bond Fund-Growth Plan-Growth O
117974 INF204K01XB8 INF204K01XC6 Reliance Dynamic Bond Fund-Quarterly Dividend Pl
102676 - INF204K01CI7 Reliance Floating Rate Fund - Short Term Plan - Da
118654 - INF204K01D71 Reliance Floating Rate Fund - Short Term Plan - Dir
118656 INF204K01E05 - Reliance Floating Rate Fund - Short Term Plan - Dir
118655 INF204K01D89 INF204K01D97 Reliance Floating Rate Fund - Short Term Plan - Dir
118661 INF204K01C98 INF204K01D06 Reliance Floating Rate Fund - Short Term Plan - Dir
118660 INF204K01D14 INF204K01E13 Reliance Floating Rate Fund - Short Term Plan - Dir
102673 INF204K01CG1 - Reliance Floating Rate Fund - Short Term Plan - Gr
102675 INF204K01CH9 INF204K01CK3 Reliance Floating Rate Fund - Short Term Plan - Mon
112942 INF204KO1HK2 - Reliance Floating Rate Fund - Short Term Plan - Qua
102677 INF204K01OQ5 INF204K01CJ5 Reliance Floating Rate Fund - Short Term Plan - We
124590 INF204KA1DU8 INF204KA1DV6 Reliance Floating Rate Fund-Short Term Plan -Direct
124589 INF204KA1DS2 INF204KA1DT0 Reliance Floating Rate Fund-Short Term Plan-Divid
100386 INF204K01CT4 INF204K01CU2 Reliance Income Fund - Annual Dividend Plan
118680 INF204K01YT8 INF204K01YU6 Reliance Income Fund - Direct Plan Annual Dividend
118687 INF204K01XS2 - Reliance Income Fund - Direct Plan Growth Plan - G
118679 INF204K01F38 - Reliance Income Fund - Direct Plan Growth Plan-Bo
118681 INF204K01YR2 INF204K01YS0 Reliance Income Fund - Direct Plan Half Yearly Divi
118683 INF204K01YN1 - Reliance Income Fund - Direct Plan Monthly Dividen
118684 INF204K01YP6 INF204K01YQ4 Reliance Income Fund - Direct Plan Quarterly Divide
100388 INF204K01CM9 - Reliance Income Fund - Growth Plan Bonus Option
100387 INF204K01CL1 - Reliance Income Fund - Growth Plan Growth Option
100385 INF204K01CR8 INF204K01CS6 Reliance Income Fund - Half Yearly Dividend Plan
100383 INF204K01CN7 INF204K01CO5 Reliance Income Fund - Monthly Dividend Plan
100384 INF204K01CP2 INF204K01CQ0 Reliance Income Fund - Quarterly Dividend Plan
124679 INF204KA1AI9 - Reliance Interval Fund - II - Series 1 -Direct Plan -G
124681 INF204KA1AJ7 INF204KA1AK5 Reliance Interval Fund - II - Series 1 -Dividend Optio
124678 INF204KA1AL3 - Reliance Interval Fund - II - Series 1 -Growth Plan
124751 INF204KA1AM1 INF204KA1AN9 Reliance Interval Fund - II - Series 2 - Direct Plan -
124749 INF204KA1AO7 - Reliance Interval Fund - II - Series 2 - Direct Plan -
124750 INF204KA1AP4 INF204KA1AQ2 Reliance Interval Fund - II - Series 2 - Dividend Plan
124748 INF204KA1AR0 - Reliance Interval Fund - II - Series 2 - Growth Plan
124755 INF204KA1AS8 INF204KA1AT6 Reliance Interval Fund - II - Series 3 - Direct Plan -
124753 INF204KA1AU4 - Reliance Interval Fund - II - Series 3 - Direct Plan -
124754 INF204KA1AV2 INF204KA1AW0 Reliance Interval Fund - II - Series 3 - Dividend Plan
124752 INF204KA1AX8 - Reliance Interval Fund - II - Series 3 - Growth Plan
124876 INF204KA1BA4 - Reliance Interval Fund - II - Series 4-Direct Plan-G
124877 INF204KA1BB2 INF204KA1BC0 Reliance Interval Fund - II - Series 4-Dividend Plan
124874 INF204KA1BD8 - Reliance Interval Fund - II - Series 4-Growth Plan-G
118804 INF204K01B81 - Reliance Annual Interval Fund - Series I - Direct Pl
105660 INF204K01ED4 INF204K01EE2 Reliance Interval Fund Annual Interval Fund Series-I
105663 INF204K01EC6 - Reliance Interval Fund Annual Interval Fund Series-
105661 INF204K01DZ9 - Reliance Interval Fund Annual Interval Fund Series-I
105662 INF204K01EA0 INF204K01EB8 Reliance Interval Fund Annual Interval Fund Series-I
105230 INF204K01CW8 INF204K01CX6 Reliance Interval Fund-Monthly Interval Fund-Series-
105229 INF204K01CV0 - Reliance Interval Fund-Monthly Interval Fund-Series
105232 INF204K01CZ1 INF204K01DA2 Reliance Interval Fund-Monthly Interval Fund-Series-I
118596 INF204K01ZB3 INF204K01ZC1 Reliance Monthly Interval Fund - Series I - Direct P
118598 INF204K01ZA5 - Reliance Monthly Interval Fund - Series I - Direct P
105401 INF204K01DC8 INF204K01DD6 Reliance Interval Fund-Monthly Interval Fund-Series-
105400 INF204K01DB0 - Reliance Interval Fund-Monthly Interval Fund-Series-
105402 INF204K01DF1 INF204K01DG9 Reliance Interval Fund-Monthly Interval Fund-Series-I
118594 INF204K01ZE7 INF204K01ZF4 Reliance Monthly Interval Fund - Series II - Direct P
118595 INF204K01ZD9 - Reliance Monthly Interval Fund - Series II - Direct P
105691 INF204K01DR6 INF204K01DS4 Reliance Interval Fund-Quarterly Interval Fund Serie-I
105692 INF204K01DO3 INF204K01DP0 Reliance Interval Fund-Quarterly Interval Fund Serie
105689 INF204K01DN5 - Reliance Interval Fund-Quarterly Interval Fund Serie
118689 INF204K01F46 INF204K01F53 Reliance Quarterly Interval Fund - Series II - Direct
118691 INF204K01F61 - Reliance Quarterly Interval Fund - Series II - Direct
118621 INF204K01XU8 INF204K01XV6 Reliance Interval Fund - Quarterly Plan - Series I -
118623 INF204K01XT0 - Reliance Interval Fund - Quarterly Plan - Series I -
105433 INF204K01DH7 - Reliance Interval Fund-Quarterly Interval Fund-Serie
105434 INF204K01DI5 INF204K01DJ3 Reliance Interval Fund-Quarterly Interval Fund-Serie
105436 INF204K01DL9 INF204K01DM7 Reliance Interval Fund-Quarterly Interval Fund-Series
105885 INF204K01DU0 INF204K01DV8 Reliance Interval Fund-Quarterly Interval Fund-Series
105884 INF204K01DT2 - Reliance Interval Fund-Quarterly Interval Fund-Serie
105883 INF204K01DX4 INF204K01DY2 Reliance Interval Fund-Quarterly Interval Fund-Series
105882 INF204K01DW6 - Reliance Interval Fund-Quarterly Interval Fund-Series
118584 INF204K01XX2 INF204K01XY0 Reliance Quarterly Interval Fund - Series III - Direc
118583 INF204K01XW4 - Reliance Quarterly Interval Fund - Series III - Direc
125266 INF204KA1EO9 INF204KA1EP6 Reliance Medium Term Fund - Direct Plan - Dividend
118808 - INF204K01C23 Reliance Medium Term Fund - Direct Plan Daily Div
118807 INF204K01D63 - Reliance Medium Term Fund - Direct Plan Growth Pl
118814 INF204K01C15 - Reliance Medium Term Fund - Direct Plan Growth Pl
118809 INF204K01C56 INF204K01C64 Reliance Medium Term Fund - Direct Plan Monthly D
118811 INF204K01C72 INF204K01C80 Reliance Medium Term Fund - Direct Plan Quarterly
118812 INF204K01C31 INF204K01C49 Reliance Medium Term Fund - Direct Plan Weekly Di
125267 INF204KA1EM3 INF204KA1EN1 Reliance Medium Term Fund - Dividend Plan
100859 INF204KA12N8 - Reliance Medium Term Fund - Growth Plan - Bonus
100856 INF204K01EF9 - Reliance Medium Term Fund - Growth Plan - Growth
100857 INF204K01EJ1 INF204K01EK9 Reliance Medium Term Fund - Monthly Dividend Pla
100858 INF204K01EL7 INF204K01EM5 Reliance Medium Term Fund - Quarterly Dividend Pl
109472 - INF204K01EG7 Reliance Medium Term Fund- Daily Dividend Reinve
109473 INF204K01EH5 INF204K01EI3 Reliance Medium Term Fund- Weekly Dividend Plan
125264 INF204KA1EK7 INF204KA1EL5 Reliance Money Manager Fund - Direct Plan - Divid
118703 - INF204K01ZV1 Reliance Money Manager Fund - Direct Plan Daily D
118702 INF204K01G03 - Reliance Money Manager Fund - Direct Plan Growth
118709 INF204K01ZU3 - Reliance Money Manager Fund - Direct Plan Growth
118704 INF204K01ZX7 INF204K01ZY5 Reliance Money Manager Fund - Direct Plan Monthly
118705 INF204K01ZZ2 INF204K01A09 Reliance Money Manager Fund - Direct Plan Quarter
118706 INF204K01A17 - Reliance Money Manager Fund - Direct Plan Weekly
125265 INF204KA1EI1 INF204KA1EJ9 Reliance Money Manager Fund - Dividend Plan
111744 - INF204K01EP8 Reliance Money Manager Fund - Retail Plan - Daily
111748 INF204K01EN3 - Reliance Money Manager Fund - Retail Plan - Growt
111743 INF204K01EO1 - Reliance Money Manager Fund - Retail Plan - Growt
111751 INF204K01ER4 INF204K01ES2 Reliance Money Manager Fund - Retail Plan - Month
111752 INF204K01ET0 INF204K01EU8 Reliance Money Manager Fund - Retail Plan - Quarte
111745 INF204K01OP7 INF204K01EQ6 Reliance Money Manager Fund - Retail Plan - Weekl
111747 - INF204K01EX2 Reliance Money Manager Fund -Daily Dividend Rein
111746 INF204K01EW4 - Reliance Money Manager Fund -Growth Plan -Bonus
111749 INF204K01EZ7 INF204K01FA7 Reliance Money Manager Fund -Monthly Dividend P
111750 INF204K01FB5 INF204K01FC3 Reliance Money Manager Fund -Quarterly Dividend
111754 INF204K01OO0 INF204K01EY0 Reliance Money Manager Fund -Weekly Dividend Pl
111753 INF204K01EV6 - Reliance Money Manager Fund- Growth Plan - Grow
118726 INF204K01YV4 - Reliance Monthly Income Plan - Direct Plan Growth
118727 INF204K01YW2 INF204K01YX0 Reliance Monthly Income Plan - Direct Plan Monthly
118729 INF204K01YY8 INF204K01YZ5 Reliance Monthly Income Plan - Direct Plan Quarterl
102172 INF204K01FD1 - Reliance Monthly Income Plan-Growth Plan
102173 INF204K01FE9 INF204K01FF6 Reliance Monthly Income Plan-Monthly Dividend Pla
102174 INF204K01FG4 INF204K01FH2 Reliance Monthly Income Plan-Quarterly Diviend Pla
118780 INF204K01A74 - Reliance Regular Savings Fund - Debt Option - Direc
118781 INF204K01A82 INF204K01A90 Reliance Regular Savings Fund - Debt Option - Direc
112938 INF204K01FQ3 - Reliance Regular Savings Fund - Debt Option - Grow
112939 INF204K01FT7 - Reliance Regular Savings Fund - Debt Option - Insti
112941 INF204K01FR1 INF204K01FS9 Reliance Regular Savings Fund - Debt Option - Quar
132873 INF204KA1WV6 - Reliance Regular Savings Fund- Debt Option- Direct
132871 INF204KA1WT0 INF204KA1WS2 Reliance Regular Savings Fund- Debt Option- Divid
133569 INF204KA1C30 - Reliance Retirement Fund- Income Generation Schem
133570 INF204KA1C71 - Reliance Retirement Fund- Income Generation Schem
133629 INF204KA1C55 - Reliance Retirement Fund- Income Generation Sche
133571 INF204KA1C63 - Reliance Retirement Fund- Income Generation Sche
133628 INF204KA1C48 - Reliance Retirement Fund- Income Generation Sche
133572 INF204KA1C22 - Reliance Retirement Fund- Income Generation Sche
125269 INF204KA1ES0 INF204KA1ET8 Reliance Short Term Fund - Direct Plan - Dividend P
118797 INF204K01B40 - Reliance Short Term Fund - Direct Plan - Monthly Di
118796 INF204K01B32 - Reliance Short Term Fund - Direct Plan Growth Plan
118800 INF204K01B65 INF204K01B73 Reliance Short Term Fund - Direct Plan Quarterly Di
125268 INF204KA1EQ4 INF204KA1ER2 Reliance Short Term Fund - Dividend Plan
101667 INF204K01FM2 INF204K01FN0 Reliance Short Term Fund- Monthly Dividend Plan
101665 INF204K01FL4 - Reliance Short Term Fund-Growth Plan
101669 INF204K01FO8 INF204K01FP5 Reliance Short Term Fund-Quarterly Dividend Plan
120800 INF204K01M47 INF204K01M54 Reliance Yearly Interval Fund - Series 1 - Direct Pla
120799 INF204K01M39 - Reliance Yearly Interval Fund - Series 1 - Direct Pl
120802 INF204K01M13 INF204K01M21 Reliance Yearly Interval Fund - Series 1 - Dividend
120798 INF204K01M05 - Reliance Yearly Interval Fund - Series 1 - Growth Pl
120954 INF204K01R83 INF204K01R91 Reliance Yearly Interval Fund - Series 2 - Direct Pla
120955 INF204K01R75 - Reliance Yearly Interval Fund - Series 2 - Direct Pl
120957 INF204K01R59 INF204K01R67 Reliance Yearly Interval Fund - Series 2 - Dividend
120956 INF204K01R42 - Reliance Yearly Interval Fund - Series 2 - Growth Pl
121701 INF204K01T57 - Reliance Yearly Interval Fund - Series 5 - Direct Pl
121699 INF204K01T24 - Reliance Yearly Interval Fund - Series 5 - Growth Pl
122654 INF204K01V46 INF204K01V53 Reliance Yearly Interval Fund - Series 8 - Direct Pla
122653 INF204K01V38 - Reliance Yearly Interval Fund - Series 8 - Direct Pl
122655 INF204K01V12 INF204K01V20 Reliance Yearly Interval Fund - Series 8 - Dividend
122652 INF204K01V04 - Reliance Yearly Interval Fund - Series 8 - Growth Pl
122726 INF204K01V95 - Reliance Yearly Interval Fund - Series 9 - Direct Pl
122727 INF204K01V79 INF204K01V87 Reliance Yearly Interval Fund - Series 9 - Dividend
122729 INF204K01V61 - Reliance Yearly Interval Fund - Series 9 - Growth Pl

SBI Mutual Fund

119792 - INF200K01SS0 SBI CORPORATE BOND FUND - DIRECT PLAN -


119793 INF200K01ST8 INF200K01SU6 SBI CORPORATE BOND FUND - DIRECT PLAN - D
118211 - INF200K01QK1 SBI CORPORATE BOND FUND - REGULAR PLAN -
102506 INF200K01693 INF200K01701 SBI CORPORATE BOND FUND - REGULAR PLAN -
119798 INF200K01SV4 - SBI CORPORATE BOND FUND - DIRECT PLAN -
102505 INF200K01685 - SBI CORPORATE BOND FUND - REGULAR PLAN
119670 INF200K01RB8 INF200K01RC6 SBI Dynamic Bond Fund - DIRECT PLAN - Dividend
102206 INF200K01966 INF200K01974 SBI Dynamic Bond Fund - REGULAR PLAN - Dividend
119671 INF200K01RD4 - SBI Dynamic Bond Fund - DIRECT PLAN - Growth
102205 INF200K01958 - SBI Dynamic Bond Fund - REGULAR PLAN - Growth
119719 INF200K01QR6 - SBI Magnum Children Benefit Plan - DIRECT PLA
101169 INF200K01776 - SBI Magnum Children Benefit Plan- REGULAR PLAN
119712 INF200K01SO9 - SBI Magnum Income Fund-DIRECT PLAN - Bonus
119713 INF200K01SP6 INF200K01SQ4 SBI Magnum Income Fund-DIRECT PLAN - Half Yearl
121940 INF200K01YS8 INF200K01YT6 SBI Magnum Income Fund-DIRECT PLAN - Quarterly
119714 INF200K01SR2 - SBI Magnum Income Fund-DIRECT PLAN -Growth
121944 INF200K01YQ2 INF200K01YR0 SBI Magnum Income Fund-REGUALR PLAN - Quarter
100638 INF200K01610 INF200K01628 SBI Magnum Income Fund-REGULAR PLAN - Half Ye
100640 INF200K01602 - SBI Magnum Income Fund-REGULAR PLAN-Bonus
100639 INF200K01594 - SBI Magnum Income Fund-REGULAR PLAN-Growth
119837 INF200K01TQ2 INF200K01TR0 SBI MAGNUM MONTHLY INCOME PLAN - DIRECT
119838 INF200K01TT6 INF200K01TU4 SBI MAGNUM MONTHLY INCOME PLAN - DIRECT
119836 INF200K01TV2 INF200K01TW0 SBI MAGNUM MONTHLY INCOME PLAN - DIRECT
100929 INF200K01909 INF200K01917 SBI Magnum Monthly Income Plan-Dividend-REGUL
100927 INF200K01867 INF200K01875 SBI Magnum Monthly Income Plan-Dividend-REGUL
100928 INF200K01883 INF200K01891 SBI Magnum Monthly Income Plan-REGULAR PLAN -
119841 INF200K01UA4 INF200K01UB2 SBI MAGNUM MONTHLY INCOME PLAN - FLOATER
103400 INF200K01818 INF200K01826 SBI MAGNUM MONTHLY INCOME PLAN - FLOATER
119840 INF200K01TX8 INF200K01TY6 SBI MAGNUM MONTHLY INCOME PLAN - FLOATER
103409 INF200K01784 INF200K01792 SBI MAGNUM MONTHLY INCOME PLAN - FLOATER
119843 INF200K01TZ3 - SBI MAGNUM MONTHLY INCOME PLAN - FLOATER
103408 INF200K01800 - SBI MAGNUM MONTHLY INCOME PLAN - FLOATE
119842 INF200K01UC0 INF200K01UD8 SBI MAGNUM MONTHLY INCOME PLAN - FLOATER
103401 INF200K01834 INF200K01842 SBI MAGNUM MONTHLY INCOME PLAN - FLOATE
119839 INF200K01TS8 - SBI MAGNUM MONTHLY INCOME PLAN - DIRECT
100968 INF200K01859 - SBI MAGNUM MONTHLY INCOME PLAN - REGUL
119825 INF200K01UZ1 INF200K01VA2 SBI REGULAR SAVINGS FUNDS - DIRECT PLAN -
102054 INF200K01727 INF200K01735 SBI REGULAR SAVINGS FUNDS - REGULAR PLAN
119824 INF200K01VB0 - SBI REGULAR SAVINGS FUNDS - DIRECT PLAN
102053 INF200K01719 - SBI REGULAR SAVINGS FUNDS - REGULAR PLA
106221 - INF200K01MD5 SBI Short Horizon Debt Fund - Ultra Short Term Fund -
106223 INF200K01ME3 INF200K01MF0 SBI Short Horizon Debt Fund -Ultra Short Term Fund -
106217 INF200K01MG8 - SBI Short Horizon Debt Fund - Ultra Short Term Fund
106224 INF200K01MH6 INF200K01MI4 SBI Short Horizon Debt Fund - Ultra Short Term Fund
106222 INF200K01MJ2 INF200K01MK0 SBI Short Horizon Debt Fund - Ultra Short Term Fund-
106227 INF200K01IG6 - SBI SHORT HORIZON DEBT FUND-SHORT TERM
106230 INF200K01IA9 INF200K01IB7 SBI SHORT HORIZON DEBT FUND-SHORT TERM F
106229 INF200K01IC5 INF200K01ID3 SBI SHORT HORIZON DEBT FUND-SHORT TERM F
106228 INF200K01IE1 INF200K01IF8 SBI SHORT HORIZON DEBT FUND-SHORT TERM F
119815 INF200K01VC8 INF200K01VD6 SBI SHORT TERM DEBT FUND - DIRECT PLAN -
106234 INF200K01HT1 INF200K01HU9 SBI SHORT TERM DEBT FUND - REGULAR PLAN
119816 INF200K01VE4 - SBI SHORT TERM DEBT FUND - DIRECT PLAN -
106231 INF200K01HZ8 - SBI SHORT TERM DEBT FUND - REGULAR PLAN
119813 INF200K01VF1 INF200K01VG9 SBI SHORT TERM DEBT FUND - DIRECT PLAN -
106233 INF200K01HV7 INF200K01HW5 SBI SHORT TERM DEBT FUND - REGULAR PLAN
119817 INF200K01VH7 INF200K01VI5 SBI SHORT TERM DEBT FUND - DIRECT PLAN -
106232 INF200K01HX3 INF200K01HY1 SBI SHORT TERM DEBT FUND - REGULAR PLAN
125504 INF200K01V32 INF200K01V24 SBI Treasury Advantage Fund - Direct Plan - Weekl
125502 - INF200K01V16 SBI Treasury Advantage Fund - Direct Plan - Daily D
125503 INF200K01V08 - SBI Treasury Advantage Fund - Direct Plan - Growth
125505 INF200K01V40 INF200K01V57 SBI Treasury Advantage Fund - Direct Plan - Monthl
125498 INF200K01U41 - SBI Treasury Advantage Fund - Regular Paln - Grow
125499 - INF200K01U58 SBI Treasury Advantage Fund - Regular Plan - Daily
125500 INF200K01U74 INF200K01U66 SBI Treasury Advantage Fund - Regular Plan - Week
125501 INF200K01U82 INF200K01U90 SBI Treasury Advantage Fund -Regular Plan - Month
119810 - INF200K01VJ3 SBI ULTRA SHORT TERM DEBT FUND - DIRECT P
106213 - INF200K01ML8 SBI ULTRA SHORT TERM DEBT FUND - REGULAR
119811 INF200K01VK1 INF200K01VL9 SBI ULTRA SHORT TERM DEBT FUND - DIRECT P
106215 INF200K01MM6 INF200K01MN4 SBI ULTRA SHORT TERM DEBT FUND - REGULAR
119812 INF200K01VM7 - SBI ULTRA SHORT TERM DEBT FUND - DIRECT
106212 INF200K01MO2 - SBI ULTRA SHORT TERM DEBT FUND - REGULA
119818 INF200K01VN5 INF200K01VO3 SBI ULTRA SHORT TERM DEBT FUND - DIRECT
106216 INF200K01MP9 INF200K01MQ7 SBI ULTRA SHORT TERM DEBT FUND - REGULAR
119819 INF200K01VP0 INF200K01VQ8 SBI ULTRA SHORT TERM DEBT FUND - DIRECT P
106214 INF200K01MR5 INF200K01MS3 SBI ULTRA SHORT TERM DEBT FUND - REGULAR
102056 INF200K01750 INF200K01768 SBI Magnum Income Plus Fund - Savings Plan (D)
102055 INF200K01743 - SBI Magnum Income Plus Fund - Savings Plan (G)

Sundaram Mutual Fund

119634 INF903J01RK0 - Sundaram Income Plus - Direct Plan - Bonus Option


119633 INF903J01OC4 INF903J01OD2 Sundaram Income Plus - Direct Plan - Dividend Opti
134963 INF903J011Q1 INF903J016Q0 Sundaram Income Plus - Direct Plan - Fortnightly Di
119632 INF903J01OE0 - Sundaram Income Plus - Direct Plan - Growth Optio
134964 INF903J012Q9 INF903J017Q8 Sundaram Income Plus - Direct Plan - Monthly Divid
134965 INF903J013Q7 - Sundaram Income Plus - Direct Plan - Quarterly Div
134967 INF903J010Q3 INF903J015Q2 Sundaram Income Plus - Direct Plan - Weekly Divid
134970 INF903J016P2 - Sundaram Income Plus - Regular Plan - Half Yearly
134969 INF903J014P7 INF903J019P6 Sundaram Income Plus - Regular Plan - Monthly Div
134968 INF903J015P4 - Sundaram Income Plus - Regular Plan - Quarterly Di
134971 INF903J012P1 INF903J017P0 Sundaram Income Plus - Regular Plan - Weekly Divi
101545 INF903J01EU7 - Sundaram Income Plus-Appreciation
101544 INF903J01EV5 INF903J01EW3 Sundaram Income Plus-Dividend
102175 INF903J01HQ8 INF903J01HT2 Sundaram Monthly Income Plan-Monthly Dividend
102176 INF903J01HR6 INF903J01HU0 Sundaram Monthly Income Plan-Quarterly-Dividend
118331 INF903J01ME4 - Sundaram Monthly Income Plan - Moderate Plan - B
119653 INF903J01RO2 - Sundaram Monthly Income Plan - Moderate Plan - Dir
119654 INF903J01QH8 - Sundaram Monthly Income Plan - Moderate Plan - Di
119652 INF903J01QI6 INF903J01QJ4 Sundaram Monthly Income Plan - Moderate Plan - Dir
119650 INF903J01QK2 INF903J01QL0 Sundaram Monthly Income Plan - Moderate Plan - Dir
119651 INF903J01QM8 INF903J01QN6 Sundaram Monthly Income Plan - Moderate Plan - Dir
102178 INF903J01HP0 - Sundaram Monthly Income Plan-Growth
102177 INF903J01HS4 INF903J01HV8 Sundaram Monthly Income Plan-Half-yearly Dividen
118323 INF903J01MC8 - Sundaram Monthly Income Plan - Aggressive Plan -
119639 INF903J01RM6 - Sundaram Monthly Income Plan - Aggressive Plan - D
119635 INF903J01OP6 - Sundaram Monthly Income Plan - Aggressive Plan - D
119638 INF903J01OS0 INF903J01OV4 Sundaram Monthly Income Plan - Aggressive Plan - Di
119636 INF903J01OQ4 INF903J01OT8 Sundaram Monthly Income Plan - Aggressive Plan - D
119637 INF903J01OR2 INF903J01OU6 Sundaram Monthly Income Plan - Aggressive Plan - D
112867 INF903J01HC8 INF903J01HF1 Sundaram Monthly Income Plan AGGRESSIVE - D
112868 INF903J01HB0 - Sundaram Monthly Income Plan AGGRESSIVE -
112869 INF903J01HE4 INF903J01HH7 Sundaram Monthly Income Plan AGGRESSIVE - Half-
112870 INF903J01HD6 INF903J01HG9 Sundaram Monthly Income Plan AGGRESSIVE - Quar
134363 INF903J017I5 - Sundaram Banking & PSU Debt Fund - Direct Growt
134370 INF903J012J4 INF903J013J2 Sundaram Banking & PSU Debt Fund - Direct Monthl
134369 INF903J019I1 INF903J014J0 Sundaram Banking & PSU Debt Fund - Direct Quarte
134355 INF903J016I7 - Sundaram Banking & PSU Debt Fund - Regular Ann
134356 INF903J016H9 - Sundaram Banking & PSU Debt Fund - Regular Gro
134359 INF903J018H5 INF903J012I6 Sundaram Banking & PSU Debt Fund - Regular Mont
134361 INF903J014I2 - Sundaram Banking & PSU Debt Fund - Regular Quar
134360 INF903J017H7 INF903J011I8 Sundaram Banking & PSU Debt Fund - Regular Week
134362 INF903J019H3 INF903J013I4 Sundaram Banking & PSU Debt Fund Regular Quarte
134358 - INF903J010I0 SundaramBanking&PSUDebtFund-RegularDailyDivi
119676 INF903J01PH0 INF903J01PM0 Sundaram Bond Saver - Direct Plan - Annual Divide
119673 INF903J01PN8 - Sundaram Bond Saver - Direct Plan - Bonus Option
119675 INF903J01PO6 - Sundaram Bond Saver - Direct Plan - Growth Option
119674 INF903J01PI8 INF903J01PJ6 Sundaram Bond Saver - Direct Plan - Half Yearly Di
119672 INF903J01PK4 INF903J01PL2 Sundaram Bond Saver - Direct Plan - Quarterly Divi
100610 INF903J01FT6 INF903J01FW0 Sundaram Bond Saver-Annual Dividend
100604 INF903J01FX8 - Sundaram Bond Saver-Bonus Option
100603 INF903J01FQ2 - Sundaram Bond Saver-Growth
100609 INF903J01FS8 INF903J01FV2 Sundaram Bond Saver-Half-Yearly Dividend
100611 INF903J01GF3 - Sundaram Bond Saver-Institutional Plan - Bonus Opt
100607 INF903J01GB2 INF903J01GE6 Sundaram Bond Saver-Institutional Plan(Annual Divi
100608 INF903J01FY6 - Sundaram Bond Saver-Institutional Plan(Growth)
100606 INF903J01GA4 INF903J01GD8 Sundaram Bond Saver-Institutional Plan(Half-Yearly
100605 INF903J01FZ3 INF903J01GC0 Sundaram Bond Saver-Institutional Plan(Qtrly Divide
100602 INF903J01FR0 INF903J01FU4 Sundaram Bond Saver-Qtrly Dividend
106556 INF903J01BT5 - SUNDARAM FIXED INCOME INTERVAL FUND QTR
106554 INF903J01BS7 - SUNDARAM FIXED INCOME INTERVAL FUND QT
119696 INF903J01PS7 - Sundaram Fixed Income Interval Fund- Quarterly Seri
119697 INF903J01PT5 - Sundaram Fixed Income Interval Fund- Quarterly Seri
106700 INF903J01BX7 - SUNDARAM FIXED INCOME INTERVAL FUND QTR
106702 INF903J01BW9 - SUNDARAM FIXED INCOME INTERVAL FUND QT
119699 INF903J01PU3 - Sundaram Fixed Income Interval Fund- Quarterly Seri
119698 INF903J01PV1 - Sundaram Fixed Income Interval Fund- Quarterly Seri
100780 INF903J01IL7 INF903J01IM5 SUNDARAM BANKING AND PSU DEBT FUND RET
118326 INF903J01LY4 - SUNDARAM BANKING AND PSU DEBT FUND - Bonu
119626 INF903J01PB3 INF903J01PE7 SUNDARAM BANKING AND PSU DEBT FUND - DI
100783 - INF903J01IQ6 SUNDARAM BANKING AND PSU DEBT FUND - Regul
119629 INF903J01RI4 - SUNDARAM BANKING AND PSU DEBT FUND DIRE
119627 - INF903J01PC1 SUNDARAM BANKING AND PSU DEBT FUND DIRE
119628 - INF903J01PD9 SUNDARAM BANKING AND PSU DEBT FUND DIR
100782 - INF903J01IP8 SUNDARAM BANKING AND PSU DEBT FUND REG
100784 INF903J01IN3 - SUNDARAM BANKING AND PSU DEBT FUND RE
100793 INF903J01IO1 INF903J01IR4 SUNDARAM BANKING AND PSU DEBT FUND REG
100781 INF903J01IK9 - SUNDARAM BANKING AND PSU DEBT FUND Retail
119625 INF903J01PA5 - Sundaram BANKING AND PSU DEBT FUND- Direct Pl
119631 INF903J01OX0 INF903J01OZ5 Sundaram Flexible Fund - Flexible Income Plan - Dir
119623 INF903J01RH6 - Sundaram Flexible Fund - Flexible Income Plan - Dir
119621 INF903J01NR4 - Sundaram Flexible Fund - Flexible Income Plan - Dir
119624 INF903J01OW2 INF903J01OY8 Sundaram Flexible Fund - Flexible Income Plan - Dire
119622 INF903J01NS2 INF903J01NT0 Sundaram Flexible Fund - Flexible Income Plan - Dir
119630 INF903J01NU8 INF903J01NV6 Sundaram Flexible Fund - Flexible Income Plan - Dire
100788 INF903J01IA0 INF903J01IE2 Sundaram Flexible Fund -Flexible Income Plan Regu
100789 INF903J01HW6 - Sundaram Flexible Fund -Flexible Income Plan Regu
100787 INF903J01HZ9 INF903J01ID4 Sundaram Flexible Fund -Flexible Income Plan Regul
100786 INF903J01HY2 INF903J01IC6 Sundaram Flexible Fund -Flexible Income Plan Regul
100791 INF903J01IH5 INF903J01IJ1 Sundaram Flexible Fund -Flexible Income Plan -Instit
100790 INF903J01IG7 INF903J01II3 Sundaram Flexible Fund -Flexible Income Plan Institu
100785 INF903J01HX4 INF903J01IB8 Sundaram Flexible Fund -Flexible Income Plan Regul
100792 INF903J01IF9 - Sundaram Flexible Fund-Flexible Income Plan Institu
118330 INF903J01MD6 - Sundaram Regular Savings Fund - Bonus Option
119643 INF903J01RN4 - Sundaram Regular Savings Fund - Direct Plan - Bon
119644 INF903J01OF7 - Sundaram Regular Savings Fund - Direct Plan - Gro
112873 INF903J01HJ3 INF903J01HM7 Sundaram Regular Savings Fund - DIVIDEND
112874 INF903J01HI5 - Sundaram Regular Savings Fund - GROWTH
119642 INF903J01OG5 INF903J01OH3 Sundaram Regular Savings Fund - Half Yearly Divid
112871 INF903J01HL9 INF903J01HO3 Sundaram Regular Savings Fund - Half-yearly Divid
119641 INF903J01OI1 INF903J01OJ9 Sundaram Regular Savings Fund - Monthly Dividend
112872 INF903J01HK1 INF903J01HN5 Sundaram Regular Savings Fund - Quarterly Dividen
119645 INF903J01OK7 INF903J01OL5 Sundaram Regular Savings Fund - Quarterly Dividen
101562 INF903J01FM1 - Sundaram Select Debt-Short-term Asset Plan-Annua
101563 INF903J01FG3 - Sundaram Select Debt-Short-term Asset Plan-Appre
101565 INF903J01FI9 INF903J01FO7 Sundaram Select Debt-Short-term Asset Plan-Fortni
101561 INF903J01FL3 - Sundaram Select Debt-Short-term Asset Plan-Half-Y
101566 INF903J01FJ7 INF903J01FP4 Sundaram Select Debt-Short-term Asset Plan-Month
101560 INF903J01FK5 - Sundaram Select Debt-Short-term Asset Plan-Quarte
101564 INF903J01FH1 INF903J01FN9 Sundaram Select Debt-Short-term Asset Plan-Weekl
118332 INF903J01MF1 - Sundaram Select Debt Short Term Asset Plan - Bon
119669 INF903J01QO4 - Sundaram Select Debt Short Term Asset Plan - Direc
119667 INF903J01RP9 - Sundaram Select Debt Short Term Asset Plan - Direc
119665 INF903J01QP1 INF903J01QQ9 Sundaram Select Debt Short Term Asset Plan - Direct
119664 INF903J01QR7 - Sundaram Select Debt Short Term Asset Plan - Direc
119668 INF903J01QS5 - Sundaram Select Debt Short Term Asset Plan - Direct
119666 INF903J01QT3 INF903J01QU1 Sundaram Select Debt Short Term Asset Plan - Direc
119663 INF903J01QV9 - Sundaram Select Debt Short Term Asset Plan - Direct
119662 INF903J01QW7 INF903J01QX5 Sundaram Select Debt Short Term Asset Plan - Direc
118329 INF903J01MG9 - Sundaram Ultra Short - Term Fund - Bonus Option
119683 INF903J01RQ7 - Sundaram Ultra Short - Term Fund - Direct Plan - B
119679 - INF903J01QY3 Sundaram Ultra Short - Term Fund - Direct Plan - Da
119681 INF903J01QZ0 INF903J01RA1 Sundaram Ultra Short - Term Fund - Direct Plan - For
119680 INF903J01RB9 - Sundaram Ultra Short - Term Fund - Direct Plan - G
119682 INF903J01RR5 INF903J01RG8 Sundaram Ultra Short - Term Fund - Direct Plan - Mo
119678 INF903J01RC7 INF903J01RD5 Sundaram Ultra Short - Term Fund - Direct Plan - Qu
119677 INF903J01RF0 - Sundaram Ultra Short - Term Fund - Direct Plan - W
105554 - INF903J01RE3 Sundaram Ultra Short Term Inst Daily Dividend
105560 INF903J01JM3 INF903J01EK8 Sundaram Ultra Short Term Inst Fortnightly Dividen
105562 INF903J01EG6 - Sundaram Ultra Short Term Inst Growth
105561 INF903J01EH4 INF903J01EL6 Sundaram Ultra Short Term Inst Monthly Dividend
105555 INF903J01JN1 INF903J01EM4 Sundaram Ultra short Term Inst Qtrly Dividend
105559 INF903J01JL5 INF903J01EJ0 Sundaram Ultra Short Term Inst Weekly Dividend
105565 - INF903J01EP7 Sundaram Ultra Short Term Regular Daily Dividend (F
105557 INF903J01JP6 INF903J01ER3 Sundaram Ultra Short Term Regular Fortnightly Divid
105563 INF903J01EN2 - Sundaram Ultra Short Term Regular Growth (Formerly
105566 INF903J01EO0 INF903J01ES1 Sundaram Ultra Short Term Regular Monthly Dividend
105558 INF903J01JQ4 INF903J01ET9 Sundaram Ultra Short Term Regular Qtrly Dividend (F
105556 INF903J01JO9 INF903J01EQ5 Sundaram Ultra Short Term Regular Weekly Dividend
105553 - INF903J01EB7 Sundaram Ultra Short Term Retail Daily Dividend
105550 INF903J01JJ9 INF903J01ED3 Sundaram Ultra Short Term Retail fortnightly Dividen
105564 INF903J01DZ8 - Sundaram Ultra Short Term Retail Growth
105551 INF903J01EA9 INF903J01EE1 Sundaram Ultra Short Term Retail Monthly Dividend
105552 INF903J01JK7 INF903J01EF8 Sundaram Ultra Short Term Retail Quarterly Dividen
105549 INF903J01JI1 INF903J01EC5 Sundaram Ultra Short Term Retail Weekly Dividend

Tata Mutual Fund

106130 - INF277K01AA4 Tata Corporate Bond Fund -Regular Plan - Daily Di


116516 - INF277K01GD5 Tata Corporate Bond Fund Retail Investment Plan Da
106128 INF277K01AD8 - Tata Corporate Bond Fund Retail Investment Plan G
106123 INF277K01CV6 INF277K01AE6 Tata Corporate Bond Fund Retail Investment Plan M
119102 INF277K013D0 - Tata Corporate Bond Fund- Direct Plan-Daily Divide
119104 INF277K01QT0 - Tata Corporate Bond Fund- Direct Plan-Growth
119105 INF277K01QU8 INF277K01QV6 Tata Corporate Bond Fund- Direct Plan-Monthly Div
119103 INF277K015D5 - Tata Corporate Bond Fund- Direct Plan-Weekly Divi
106129 INF277K01998 - Tata Corporate Bond Fund -Regular Plan - Growth
106131 INF277K01CU8 INF277K01AC0 Tata Corporate Bond Fund-Regular Plan - Weekly Di
106132 INF277K01CT0 INF277K01AB2 Tata Corporate Bond Fund -Regular Plan - Monthly
102031 INF277K01DF7 INF277K01378 Tata Dynamic Bond Fund B - Dividend
101910 INF277K01386 - Tata Dynamic Bond Fund B - Growth
101909 INF277K01360 - Tata Dynamic Bond Fund Regular Plan - Growth
101224 INF277K01DE0 INF277K01352 Tata Dynamic Bond Fund Regular Plan - Dividend
119098 INF277K01MT9 INF277K01MU7 Tata Dynamic Bond Fund- Direct Plan-Bonus/Divide
119097 INF277K01MV5 - Tata Dynamic Bond Fund- Direct Plan-Growth
119879 INF277K01OZ2 - Tata Long Term Debt Fund - Direct Plan - Bonus
119876 INF277K01OY5 - Tata Long Term Debt Fund - Direct Plan - Growth
119877 INF277K01PA2 INF277K01PB0 Tata Long Term Debt Fund - Direct Plan - Half Yearl
119875 INF277K01PC8 INF277K01PD6 Tata Long Term Debt Fund - Direct Plan - Periodic D
119873 INF277K01PE4 INF277K01PF1 Tata Long Term Debt Fund - Direct Plan - Quartelry
101186 INF277K01DT8 INF277K01667 Tata Long Term Debt Fund - Regular Plan - Periodi
101419 INF277K01691 - Tata Long Term Debt Fund - Regular Plan -Bonus
100418 INF277K01659 - Tata Long Term Debt Fund -Regular Plan - Growth
100417 INF277K01DU6 INF277K01675 Tata Long Term Debt Fund - Regular Plan - Half Yea
100416 INF277K01DV4 INF277K01683 Tata Long Term Debt Fund - Regular Plan - Quarterl
101605 INF277K01DW2 INF277K01709 Tata Medium Term Fund Regular Plan - Bonus/Divi
101704 INF277K01733 - Tata Medium Term Fund B - Growth Option
101606 INF277K01DX0 - Tata Medium Term Fund B - Income / Bonus Option
101703 INF277K01717 - Tata Medium Term Fund Regular Plan - Growth
119127 INF277K01PI5 - Tata Medium Term Fund- Direct Plan- Growth
119126 INF277K01PG9 INF277K01PH7 Tata Medium Term Fund- Direct Plan-Bonus/Dividen
115944 INF277K01FI6 - Tata Retirement Savings Fund Regular Plan-Conserv
119256 INF277K01QM5 - Tata Retirement Savings Fund Conservative-Direct
119949 INF277K01QR4 - Tata Short Term Bond Fund - Direct Plan - Growth
119950 INF277K01QP8 INF277K01QQ6 Tata Short Term Bond Fund - Direct Plan -Monthly D
133974 INF277K01P38 INF277K01P46 Tata Short Term Bond Fund- Direct Plan - Periodic D
101547 INF277K01EI9 INF277K01964 Tata Short Term Bond Fund - Regular Plan-Monthly
133975 INF277K01P12 INF277K01P20 Tata Short Term Bond Fund- Regular A- Periodic Di
101548 INF277K01972 - Tata Short Term Bond Fund -Regular Plan- Growth
106136 INF277K01AG1 - Tata Treasury Manager Fund Super High Investment
103160 - INF277K01LZ8 Tata Ultra Short Term Fund- Regular Plan - Daily Di
119864 INF277K018B3 - Tata Ultra Short Term Fund - Direct Plan - Daily Div
119863 INF277K01OK4 - Tata Ultra Short Term Fund - Direct Plan - Growth
119957 INF277K01OL2 INF277K01OM0 Tata Ultra Short Term Fund - Direct Plan - Periodic
119865 INF277K010C8 - Tata Ultra Short Term Fund - Direct Plan - Weekly D
103159 INF277K01MA9 - Tata Ultra Short Term Fund - Regular Plan - Growth
103158 INF277K01MD3 INF277K01MB7 Tata Ultra Short Term Fund -Regular Plan - Weekly
115464 INF277K01MC5 INF277K01ME1 Tata Ultra Short Term Fund - Regular Plan - Periodi

Taurus Mutual Fund

114538 INF044D01AH8 INF044D01AI6 Taurus Dynamic Income Fund - Dividend Option


114537 INF044D01AK2 - Taurus Dynamic Income Fund - Growth Option
118875 INF044D01DA7 INF044D01DB5 Taurus Dynamic Income Fund-Direct Plan-Dividend
118874 INF044D01CZ6 - Taurus Dynamic Income Fund-Direct Plan-Growth Op
118890 INF044D01CX1 INF044D01CY9 Taurus Short Term Income Fund-Direct Plan-Dividen
118889 INF044D01CW3 - Taurus Short Term Income Fund-Direct Plan-Growth
101113 INF044D01583 INF044D01591 Taurus Short Term Income Fund-Dividend Option
101114 INF044D01617 - Taurus Short Term Income Fund-Growth Option
111438 - INF044D01658 Taurus Ultra Short Term Bond Fund - Retail Weekly
111441 - INF044D01674 Taurus Ultra Short Term Bond Fund - Institutional Da
111437 - INF044D01633 Taurus Ultra Short Term Bond Fund - Retails Daily D
111435 INF044D01625 - Taurus Ultra Short Term Bond Fund - RG
111445 - INF044D01716 Taurus Ultra Short Term Bond Fund - SI Daily Divid
111443 INF044D01708 - Taurus Ultra Short Term Bond Fund - SI Growth
111446 - INF044D01724 Taurus Ultra Short Term Bond Fund - SI Weekly Div
118895 - INF044D01DF6 Taurus Ultra Short Term Bond Fund-Direct Plan-Supe
118894 INF044D01DH2 - Taurus Ultra Short Term Bond Fund-Direct Plan-Supe
118896 - INF044D01DG4 Taurus Ultra Short Term Bond Fund-Direct Plan-Supe
Union Mutual Fund

119310 INF582M01815 INF582M01807 Union Dynamic Bond Fund - Direct Plan - Dividend O
119311 INF582M01799 - Union Dynamic Bond Fund - Direct Plan - Growth Op
116556 INF582M01351 INF582M01344 Union Dynamic Bond Fund - Dividend Option
116555 INF582M01336 - Union Dynamic Bond Fund - Growth Option
117282 - INF582M01385 Union Short Term Fund - Daily Dividend Option
119320 - INF582M01849 Union Short Term Fund - Direct Plan - Daily Dividen
119322 INF582M01880 INF582M01864 Union Short Term Fund - Direct Plan - Fortnightly Di
119318 INF582M01831 - Union Short Term Fund - Direct Plan - Growth Optio
119319 INF582M01898 INF582M01872 Union Short Term Fund - Direct Plan - Monthly Divid
119321 - INF582M01856 Union Short Term Fund - Direct Plan - Weekly Divid
117280 INF582M01427 INF582M01401 Union Short Term Fund - Fortnightly Dividend Option
117281 INF582M01377 - Union Short Term Fund - Growth Option
117283 INF582M01435 INF582M01419 Union Short Term Fund - Monthly Dividend Option
117284 - INF582M01393 Union Short Term Fund - Weekly Dividend Option

UTI Mutual Fund

100648 - - UTI - CRTS 81 - Dividend Option


120787 - - UTI - CRTS 81 - Dividend Option- Direct
104588 - - UTI - CRTS 81 - Growth Option
120788 - - UTI - CRTS 81 - Growth Option- Direct
101608 INF789F01AA8 - UTI - MIS-Growth
120776 INF789F01UV2 - UTI - MIS-Growth-Direct
101607 INF789F01984 INF789F01992 UTI - MIS-Income
120775 INF789F01UT6 INF789F01UU4 UTI - MIS-Income-Direct
102534 INF789F01877 INF789F01885 UTI - MIS-ADVANTAGE-FLEXI DIVIDEND
120789 INF789F01UH1 INF789F01UI9 UTI - MIS-ADVANTAGE-FLEXI DIVIDEND- Direct
102535 INF789F01893 - UTI - MIS-ADVANTAGE-GROWTH
120779 INF789F01UJ7 - UTI - MIS-ADVANTAGE-GROWTH-Direct
102536 INF789F01901 INF789F01919 UTI - MIS-ADVANTAGE-MONTHLY DIVIDEND
120778 INF789F01UK5 INF789F01UL3 UTI - MIS-ADVANTAGE-MONTHLY DIVIDEND-Direc
102533 INF789F01927 - UTI - MIS-ADVANTAGE-MONTHLY PAYMENT
120790 - - UTI - MIS-ADVANTAGE-MONTHLY PAYMENT- Dire
100682 - - UTI - Retirement Benefit Pension Fund
120766 - - UTI - Retirement Benefit Pension Fund- Direct
134517 INF789FA1Q91 INF789FA1R09 UTI - Short Term Income Fund - Annual Div Option
135497 INF789FA1R33 INF789FA1R41 UTI - Short Term Income Fund - Annual Div Option -
106383 INF789F01AH3 INF789F01AI1 UTI - Short Term Income Fund - Dividend Option
106384 INF789F01AJ9 - UTI - Short Term Income Fund - Growth Option
131424 INF789FA1Q75 INF789FA1Q83 UTI - Short Term Income Fund - Half Yearly Div Opti
131425 INF789FA1R17 INF789FA1R25 UTI - Short Term Income Fund - Half Yearly Div Optio
131547 INF789F01QB2 INF789F01QC0 UTI - Short Term Income Fund - Monthly Div Option
131548 INF789F01XZ7 INF789F01YA8 UTI - Short Term Income Fund - Monthly Div Option -
125045 INF789FB1T54 INF789FB1T47 UTI - Short Term Income Fund -Institutional Flexi Di
124962 INF789FB1T70 INF789FB1T62 UTI - Short Term Income Fund -Institutional Flexi Div
106624 INF789F01QA4 - UTI - Short Term Income Fund -Institutional Growth
120718 INF789F01XY0 - UTI - Short Term Income Fund -Institutional Growth O
106980 INF789FC1GD5 INF789FA1R58 UTI - Short Term Income Fund -Quarterly Div Option
120719 INF789FA1R66 INF789FA1R74 UTI - Short Term Income Fund -Quarterly Div Option
100646 - - UTI - Unit Linked Insurance Plan
120784 - - UTI - Unit Linked Insurance Plan- Direct
134998 INF789FA1T64 INF789FA1T72 UTI Bond Fund - Half Yearly Div Option - Direct
133869 INF789FA1T23 INF789FA1T31 UTI Bond Fund - Annual Div Option
139339 INF789FA1T80 - UTI Bond Fund - Direct Plan - Annual Div Option
133872 INF789FA1T49 INF789FA1T56 UTI Bond Fund - Flexi Dividend Option
133280 INF789FA1U04 INF789FA1U12 UTI Bond Fund - Flexi Dividend Option - Direct
135581 INF789FA1T07 INF789FA1T15 UTI Bond Fund - Half Yearly Div Option
120690 INF789F01SO1 INF789F01SP8 UTI Bond Fund- Quarterly Div Option - Direct
100741 INF789F01406 - UTI Bond Fund-Growth (for rep. After 6 months- No
120689 INF789F01SQ6 - UTI Bond Fund-Growth - Direct
100742 INF789F01380 INF789F01398 UTI Bond Fund-Quarterly Div Option
100678 - - UTI C C BALANCED FUND
120771 - - UTI C C BALANCED FUND-Direct
135536 INF789FA1S65 INF789FA1S73 UTI Dynamic Bond Fund - Direct Plan - Annual Div O
120763 INF789F01XB8 INF789F01XC6 UTI Dynamic Bond Fund - Direct Plan - Dividend Opt
133180 INF789FA1S81 INF789FA1S99 UTI Dynamic Bond Fund - Direct Plan - Flexi Dividen
120762 INF789F01XD4 - UTI Dynamic Bond Fund - Direct Plan - Growth Opti
134788 INF789FA1S40 INF789FA1S57 UTI Dynamic Bond Fund - Direct Plan - Half Yearly D
133852 INF789FA1S08 INF789FA1S16 UTI Dynamic Bond Fund - Regular Plan - Annual Div
135336 INF789FA1S24 INF789FA1S32 UTI Dynamic Bond Fund - Regular Plan - Flexi Div O
113077 INF789F01JQ5 - UTI Dynamic Bond Fund - Regular Plan - Growth Op
139181 INF789FA1R82 INF789FA1R90 UTI Dynamic Bond Fund - Regular Plan - Half Yearly
113078 INF789F01JO0 INF789F01JP7 UTI Dynamic Bond Fund - Regular Plan - Quarterly D
126652 INF789FB1US5 INF789FB1UT3 UTI FTIF Series XVII -VII (465 DAYS)) - Annual Div
126645 INF789FB1UX5 - UTI FTIF Series XVII -VII (465 DAYS)- Growth Optio
126646 INF789FB1VG8 - UTI FTIF Series XVII -VII (465 DAYS)- Growth Option
126654 INF789FB1UQ9 INF789FB1UR7 UTI FTIF Series XVII -VII (465 DAYS)- Quarterly Div
126647 INF789FB1VA1 INF789FB1VB9 UTI FTIF Series XVII -VII (465 DAYS)- Quarterly Div
117981 INF789F01QZ1 - UTI Income Opportunities Fund - Growth Option
120764 INF789F01YB6 - UTI Income Opportunities Fund - Growth Option-Dir
117982 INF789F01RA2 INF789F01RB0 UTI Income Opportunities Fund - Quarterly Div Opti
120765 INF789F01YC4 INF789F01YD2 UTI Income Opportunities Fund - Quarterly Div Opti
133344 INF789FA1V60 INF789FA1V78 UTI Income Opportunities Fund - Annual Div Option
135290 INF789FB1U28 INF789FB1U36 UTI Income Opportunities Fund - Annual Div Option -
136302 INF789FB1U44 INF789FB1U51 UTI Income Opportunities Fund - Direct Plan - Flexi
135418 - - UTI Income Opportunities Fund - Direct Plan - Half Y
135051 INF789FA1V86 INF789FA1V94 UTI Income Opportunities Fund - Flexi Div Option
135419 INF789FA1V45 INF789FA1V52 UTI Income Opportunities Fund - Regular Plan - Half
131418 INF789FB1T88 INF789FB1T96 UTI Income Opportunity Fund - Monthly Div Option
131419 INF789FB1U02 INF789FB1U10 UTI Income Opportunity Fund - Monthly Div Option -
134505 INF789FB1KL1 INF789FB1KM9 UTI Medium Term Fund - Direct Plan - Annual Div Op
134506 INF789FB1KO5 INF789FB1KN7 UTI Medium Term Fund - Direct Plan - Flexi Div Opti
134503 INF789FB1KE6 - UTI Medium Term Fund - Direct Plan - Growth Optio
134504 INF789FB1KJ5 INF789FB1KK3 UTI Medium Term Fund - Direct Plan - Half Yearly Di
134501 INF789FB1KF3 INF789FB1KG1 UTI Medium Term Fund - Direct Plan - Monthly Div O
134502 INF789FB1KH9 INF789FB1KI7 UTI Medium Term Fund - Direct Plan - Quarterly Div
134500 INF789FB1KA4 INF789FB1KB2 UTI Medium Term Fund - Regular Plan - Annual Div
134498 - - UTI Medium Term Fund - Regular Plan - Flexi Div Op
134499 INF789FB1JU4 - UTI Medium Term Fund - Regular Plan - Growth Opt
134497 INF789FB1JY6 INF789FB1JZ3 UTI Medium Term Fund - Regular Plan - Half Yearly
134495 INF789FB1JV2 INF789FB1KP2 UTI Medium Term Fund - Regular Plan - Monthly Div
134496 INF789FB1JW0 INF789FB1JX8 UTI Medium Term Fund - Regular Plan - Quarterly Di
112067 - - UTI Smart Woman Savings Plan - Dividend Option
120774 - - UTI Smart Woman Savings Plan - Dividend Option- D
112066 - - UTI Smart Woman Savings Plan - Growth Option
120773 - - UTI Smart Woman Savings Plan - Growth Option- Di
105658 INF789F01OU7 INF789F01OV5 UTI - Treasury Advantage Fund - Institutional Month
120736 INF789F01XJ1 INF789F01XK9 UTI - Treasury Advantage Fund - Institutional Month
105659 INF789F01PA6 - UTI - Treasury Advantage Fund - Flexi Dividend Pla
133733 INF789FA1N45 INF789FA1N52 UTI - Treasury Advantage Fund - Fortnightly Div Op
115483 INF789F01OW3 INF789F01OX1 UTI - Treasury Advantage Fund - Instn Quarterly Di
120734 INF789F01XL7 INF789F01XM5 UTI - Treasury Advantage Fund - Instn Quarterly Div
102541 INF789F01OO0 INF789F01OP7 UTI - Treasury Advantage Fund - Quarterly Dividen
102538 INF789F01OK8 INF789F01OL6 UTI - Treasury Advantage Fund - Annaul Dividend O
102539 INF789F01OM4 - UTI - Treasury Advantage Fund - Bonus Option
102540 INF789F01331 - UTI - Treasury Advantage Fund - Growth Option
133130 INF789FA1N86 INF789FA1N94 UTI - Treasury Advantage Fund - Institutional Flexi D
133127 INF789FA1O44 INF789FA1O51 UTI - Treasury Advantage Fund - Institutional Flexi D
102545 INF789F01OS1 - UTI - Treasury Advantage Fund - Institutional-Bonus
120738 INF789F01XH5 - UTI - Treasury Advantage Fund - Institutional-Bonus
105605 - INF789F01ON2 UTI - Treasury Advantage Fund - Institutional-Daily
120737 - INF789F01XE2 UTI - Treasury Advantage Fund - Institutional-Daily D
102544 INF789F01OT9 - UTI - Treasury Advantage Fund - Institutional-Growt
120735 INF789F01XI3 - UTI - Treasury Advantage Fund - Institutional-Growth
105627 INF789F01PB4 INF789F01PC2 UTI - Treasury Advantage Fund - Institutional-weekl
120739 INF789F01XN3 INF789F01XO1 UTI - Treasury Advantage Fund - Institutional-weekly
135191 INF789FA1O02 INF789FA1O10 UTI - Treasury Advantage Fund - Instn Fortnightly Div
133469 INF789FA1O28 INF789FA1O36 UTI - Treasury Advantage Fund - Instn Half Yearly Di
105670 INF789F01OY9 INF789F01OZ6 UTI - Treasury Advantage Fund - Retail Monthly Div
105578 - INF789F01349 UTI - Treasury Advantage Fund- Periodic Dividend
141958 - - UTI Treasury Advantage Fund - Instn Annual Div Opti
136345 INF789FA1N60 INF789FA1N78 UTI Treasury Advantage Fund - Instn Half Yearly Div
140135 INF789FA1V03 INF789FA1V11 UTI Banking & PSU Debt Fund - Direct Plan - Annual
141375 - - UTI Banking & PSU Debt Fund - Direct Plan - Half Ye
133971 INF789FA1U61 INF789FA1U79 UTI Banking & PSU Debt Fund - Flexi Div Option
133972 INF789FA1V29 INF789FA1V37 UTI Banking & PSU Debt Fund - Flexi Div Option - Di
134026 - - UTI Banking & PSU Debt Fund - Monthly Div Option -
140116 INF789FAIU46 INF789FA1U53 UTI Banking & PSU Debt Fund - Regular Plan - Annu
139407 INF789FA1U20 INF789FA1U38 UTI Banking & PSU Debt Fund - Regular Plan - Half
136110 - - UTI Banking & PSU Debt Fund - Regular Plan - Mont
126939 INF789F014Z9 - UTI Banking & PSU Debt Fund- Growth Option
126940 INF789F015Z6 - UTI Banking & PSU Debt Fund- Growth Option - Dire
126941 INF789F012Z3 INF789F013Z1 UTI Banking & PSU Debt Fund- Quarterly Div Option
126942 INF789F016Z4 INF789F017Z2 UTI Banking & PSU Debt Fund- Quarterly Div Option

Open Ended Schemes(Liquid)

Aditya Birla Sun Life Mutual Fund

100046 INF209K01KQ2 INF209K01SQ5 Aditya Birla Sun Life Cash Plus - Daily Dividend
119569 INF209K01UZ2 - Aditya Birla Sun Life Cash Plus - Daily Dividend - Dir
103885 INF209KA1LI1 - Aditya Birla Sun Life Cash Plus - Dividend
119571 INF209K01VD7 - Aditya Birla Sun Life Cash Plus - Dividend - Direct P
100047 INF209K01RU9 - Aditya Birla Sun Life Cash Plus - Growth
119568 INF209K01VA3 - Aditya Birla Sun Life Cash Plus - Growth - Direct Pla
100041 - INF209K01KN9 Aditya Birla Sun Life Cash Plus - Institutional Divide
100051 INF209K01KU4 INF209K01KV2 Aditya Birla Sun Life Cash Plus - Weekly Dividend
119570 INF209K01VC9 - Aditya Birla Sun Life Cash Plus - Weekly Dividend -
112014 INF209K01KZ3 - Aditya Birla Sun Life Cash Plus- Discipline Advantag
100043 INF209K01RT1 - Aditya Birla Sun Life Cash Plus-Institutional (Growth)
100048 INF209K01KX8 INF209K01KY6 Aditya Birla Sun Life Cash Plus-Institutional - Week
100044 - INF209K01KP4 Aditya Birla Sun Life Cash Plus-Retail (Dividend)
100042 INF209K01ME4 - Aditya Birla Sun Life Cash Plus-Retail (Growth)
101973 - INF209K01KB4 Aditya Birla Sun Life Floating Rate - Short Term - Da
119513 INF209K01UT5 - Aditya Birla Sun Life Floating Rate - Short Term - Dai
101976 INF209K01RV7 - Aditya Birla Sun Life Floating Rate - Short Term - G
119511 INF209K01UU3 - Aditya Birla Sun Life Floating Rate - Short Term - Gr
101972 - INF209K01JZ5 Aditya Birla Sun Life Floating Rate - Short Term - Ret
101971 INF209K01MJ3 - Aditya Birla Sun Life Floating Rate - Short Term - Re
101970 - INF209K01JY8 Aditya Birla Sun Life Floating Rate - Short Term - Re
101974 - INF209K01KA6 Aditya Birla Sun Life Floating Rate - Short Term - W
119512 INF209K01UV1 - Aditya Birla Sun Life Floating Rate - Short Term - We

Axis Mutual Fund

112211 - INF846K01420 Axis Liquid Fund - Daily Dividend Option


128954 INF846K01NH4 - Axis Liquid Fund - Direct plan - Bonus Option
120388 - INF846K01DA0 Axis Liquid Fund - Direct Plan - Daily Dividend Optio
120389 INF846K01CX4 - Axis Liquid Fund - Direct Plan - Growth Option
120391 INF846K01CY2 INF846K01CZ9 Axis Liquid Fund - Direct Plan - Monthly Dividend Op
120390 INF846K01DB8 INF846K01DC6 Axis Liquid Fund - Direct Plan - Weekly Dividend Opt
112210 INF846K01412 - Axis Liquid Fund - Growth Option
112213 INF846K01453 INF846K01461 Axis Liquid Fund - Monthly Dividend Option
112712 - INF846K01362 Axis Liquid Fund - Retail Plan - Daily Dividend Optio
112713 INF846K01354 - Axis Liquid Fund - Retail Plan - Growth Option
112714 INF846K01396 INF846K01404 Axis Liquid Fund - Retail Plan - Monthly Dividend Op
112715 INF846K01370 INF846K01388 Axis Liquid Fund - Retail Plan - Weekly Dividend Opt
112212 INF846K01438 INF846K01446 Axis Liquid Fund - Weekly Dividend Option

Baroda Pioneer Mutual Fund

125128 INF955L01DR1 - Baroda Pioneer Liquid Fund - Plan A - Bonus Option


111707 INF955L01468 INF955L01476 BARODA PIONEER LIQUID FUND - Plan A - DAIL
111704 INF955L01484 - BARODA PIONEER LIQUID FUND - Plan A - GRO
111705 INF955L01492 INF955L01500 BARODA PIONEER LIQUID FUND - PLAN A - WEE
125129 INF955L01DS9 - Baroda Pioneer Liquid Fund - Plan B (Direct) - Bonu
119414 INF955L01AK2 - BARODA PIONEER LIQUID FUND - PLAN B (DIREC
119415 INF955L01AL0 - BARODA PIONEER LIQUID FUND - PLAN B (DIRE
119416 INF955L01AN6 - BARODA PIONEER LIQUID FUND - PLAN B (DIRE
116803 INF955L01534 INF955L01542 Baroda Pioneer Liquid Fund - Regular - Weekly Divi
111706 - - BARODA PIONEER LIQUID FUND PLAN A - MONT
101408 INF955L01575 - BARODA PIONEER LIQUID FUND- Regular Growth
101409 INF955L01518 INF955L01526 BARODA PIONEER LIQUID FUND-Regular Daily Div
101407 INF955L01559 INF955L01567 BARODA PIONEER LIQUID FUND-Regular Dividend

BNP Paribas Mutual Fund

130473 - INF251K01NK1 BNP PARIBAS OVERNIGHT FUND - DAILY DIVID


130486 - INF251K01NP0 BNP PARIBAS OVERNIGHT FUND - DIRECT PLAN
130472 INF251K01NJ3 - BNP PARIBAS OVERNIGHT FUND - GROWTH OP
130476 INF251K01NM7 INF251K01NN5 BNP PARIBAS OVERNIGHT FUND - MONTHLY DI
130471 INF251K01NH7 INF251K01NI5 BNP PARIBAS OVERNIGHT FUND - REGULAR PLA
130465 - INF251K01NG9 BNP PARIBAS OVERNIGHT FUND - REGULAR PLA
130474 - INF251K01NL9 BNP PARIBAS OVERNIGHT FUND - WEEKLY DIV
130479 INF251K01NO3 - BNP PARIBAS OVERNIGHT FUND -- DIRECT PLA
130487 - INF251K01NQ8 BNP PARIBAS OVERNIGHT FUND -- DIRECT PLAN
139562 INF251K01OL7 - BNP PARIBAS OVERNIGHT FUND SPECIAL UNCLA
139561 INF251K01OM5 - BNP PARIBAS OVERNIGHT FUND SPECIAL UNCLA
139560 INF251K01OJ1 - BNP PARIBAS OVERNIGHT FUND SPECIAL UNCL
139563 INF251K01OK9 - BNP PARIBAS OVERNIGHT FUND SPECIAL UNCL
130489 INF251K01NR6 INF251K01NS4 BNP PARIBAS OVERNIGNT FUND - DIRECT PLAN
130459 INF251K01NF1 - BNP PARIBAS OVERNIGNT FUND - REGULAR PL

BOI AXA Mutual Fund

141887 - - BOI AXA Liquid Fund Unclaimed Dividend greater th


141889 - - BOI AXA Liquid Fund Unclaimed Dividend Upto 3 ye
141888 - - BOI AXA Liquid Fund Unclaimed Redemption greater
141890 - - BOI AXA Liquid Fund Unclaimed Redemption Upto 3
119368 - INF761K01CL0 BOI AXA Liquid Fund- Direct Plan- Daily Dividend
119369 INF761K01785 - BOI AXA Liquid Fund- Direct Plan- Growth
119370 - INF761K01CM8 BOI AXA Liquid Fund- Direct Plan- Weekly Dividend
111971 - INF761K01CO4 BOI AXA Liquid Fund- Regular Plan- Daily Dividend
109254 INF761K01306 - BOI AXA Liquid Fund- Regular Plan- Growth
109255 - INF761K01CP1 BOI AXA Liquid Fund- Regular Plan- Weekly Dividen

Canara Robeco Mutual Fund

139235 INF760K01IC8 - Canara Robeco Liquid -Unclaimed Redemption and D


118305 INF760K01FU6 - Canara Robeco Liquid- Direct Plan-Growth
118308 INF760K01FY8 INF760K01FX0 Canara Robeco Liquid- Direct Plan-Weekly dividend
101363 - INF760K01CC1 Canara Robeco Liquid- INSTITUTIONAL-Daily Divid
101362 INF760K01CD9 - Canara Robeco Liquid- INSTITUTIONAL-Growth
118307 - INF760K01FS0 Canara Robeco Liquid-Direct Plan-Daily Dividend R
118304 INF760K01FT8 - Canara Robeco Liquid-Direct Plan-Dividend Payout
118306 INF760K01FV4 INF760K01FW2 Canara Robeco Liquid-Direct Plan-Monthly Dividend
109349 - INF760K01CU3 Canara Robeco Liquid-Regular Plan-Daily Div Reinve
109353 INF760K01CW9 - Canara Robeco Liquid-Regular Plan-Growth
109351 INF760K01CX7 INF760K01CY5 Canara Robeco Liquid-Regular Plan-Monthly Div Rei
109350 INF760K01BZ4 INF760K01CZ2 Canara Robeco Liquid-Regular Plan-Weekly Div Rein
101364 - INF760K01CF4 Canara Robeco Liquid-Retail-DRI
101365 INF760K01CH0 - Canara Robeco Liquid-Retail-Growth
109347 - INF760K01CI8 Canara Robeco Liquid-Retail-Monthly Div Reinvest
109356 - INF760K01CJ6 Canara Robeco Liquid-Retail-Weekly Div Reinvest

DHFL Pramerica Mutual Fund

138306 INF223J01WV0 - DHFL Pramerica INSTA CASH PLUS FUND - Annual


138292 INF223J01IP1 INF223J01IQ9 DHFL Pramerica Insta Cash Plus Fund - Annual Divi
138286 INF223J01BQ4 - DHFL Pramerica INSTA CASH PLUS FUND - BON
138305 INF223J01WW8 - DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138302 INF223J01NQ9 - DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138296 - - DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138297 INF223J01NR7 - DHFL Pramerica Insta Cash Plus Fund - Direct Plan -
138299 INF223J01NS5 - DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138298 INF223J01NT3 - DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138300 INF223J01NX5 - DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138301 INF223J01NV9 INF223J01NW7 DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138303 INF223J01VE8 - DHFL Pramerica Insta Cash Plus Fund - Direct Plan
138287 INF223J01BL5 - DHFL Pramerica Insta Cash Plus Fund - Monthly Div
138284 INF223J01BH3 - DHFL Pramerica INSTA CASH PLUS FUND - Regul
139603 - - DHFL Pramerica Insta Cash Plus Fund - Unclaimed D
139604 - - DHFL Pramerica Insta Cash Plus Fund - Unclaimed
139605 - - DHFL Pramerica Insta Cash Plus Fund - Unclamied D
139602 - - DHFL Pramerica Insta Cash Plus Fund - Unlcaimed
138289 INF223J01BU6 - DHFL Pramerica Insta Cash Plus Fund - Weekly Div
138288 INF223J01BP6 - DHFL Pramerica Insta Cash Plus Fund -Growth
138285 - INF223J01BO9 DHFL Pramerica Insta Cash Plus Fund-Daily Divide
138280 - INF223J01BI1 DHFL Pramerica Insta Cash Plus Fund-DIVIDEND-Da
138279 INF223J01BR2 - DHFL Pramerica Insta Cash Plus Fund-DIVIDEND
138278 INF223J01BN1 - DHFL Pramerica Insta Cash Plus Fund-DIVIDEND
138281 INF223J01BJ9 - DHFL Pramerica Insta Cash Plus Fund-Growth-G
138283 INF223J01BA8 - DHFL Pramerica Insta Cash Plus Fund-Institutional P
138282 INF223J01BB6 - DHFL Pramerica Insta Cash Plus Fund-Institutional
138304 INF223J01VD0 - DHFL Pramerica INSTA CASH PLUS FUND-Monthly
138294 INF223J01IN6 INF223J01IO4 DHFL Pramerica Insta CashPlus Fund - Quarterly Di

DSP BlackRock Mutual Fund

119124 - - DSP BlackRock Liquidity Fund - Direct Plan - Daily D


119125 INF740K01QL4 - DSP BlackRock Liquidity Fund - Direct Plan - Growth
119123 - - DSP BlackRock Liquidity Fund - Direct Plan - Weekl
103347 INF740K01FK9 - DSP BlackRock Liquidity Fund - Regular Plan - Grow
103348 - - DSP BlackRock Liquidity Fund - Regular Plan - Week
103349 - - DSP BlackRock Liquidity Fund- Regular Plan - Daily
100943 - - DSP BlackRock Liquidity Fund - Regular Plan - Daily
100940 INF740K01CN0 - DSP BlackRock Liquidity Fund - Regular Plan - Grow
100941 - - DSP BlackRock Liquidity Fund - Regular Plan Weekl

Edelweiss Mutual Fund

140197 INF754K01GW3 INF754K01GS1 Edelweiss Liquid Fund - Direct Plan - Monthly Divid
140194 INF754K01GY9 - Edelweiss Liquid Fund - Direct Plan - Bonus Option
140193 - INF754K01GP7 Edelweiss Liquid Fund - Direct Plan - Daily Dividend
140199 INF754K01GV5 INF754K01GR3 Edelweiss Liquid Fund - Direct Plan - Fortnightly Div
140196 INF754K01GM4 - Edelweiss Liquid Fund - Direct Plan - Growth Option
140195 INF754K01GU7 INF754K01GQ5 Edelweiss Liquid Fund - Direct Plan - Weekly Divide
140188 INF754K01HQ3 INF754K01HP5 Edelweiss Liquid Fund - Regular Plan - Annual Divi
140189 INF754K01HR1 - Edelweiss Liquid Fund - Regular Plan - Bonus Optio
140181 - INF754K01HA7 Edelweiss Liquid Fund - Regular Plan - Daily Divide
140184 INF754K01HK6 INF754K01HC3 Edelweiss Liquid Fund - Regular Plan - Fortnightly D
140182 INF754K01GZ6 - Edelweiss Liquid Fund - Regular Plan - Growth Opti
140183 INF754K01HL4 INF754K01HD1 Edelweiss Liquid Fund - Regular Plan - Monthly Divi
140185 INF754K01HJ8 INF754K01HB5 Edelweiss Liquid Fund - Regular Plan - Weekly Divi
140177 - INF754K01HF6 Edelweiss Liquid Fund - Retail Plan - Daily Dividend
140176 INF754K01HE9 - Edelweiss Liquid Fund - Retail Plan - Growth Option
140180 - INF754K01HI0 Edelweiss Liquid Fund - Retail Plan - Monthly Divid
140178 - INF754K01HG4 Edelweiss Liquid Fund - Retail Plan - Weekly Divide
141159 - - Edelweiss Liquid Fund - Unclaimed Dividend Plan- A
141161 - - Edelweiss Liquid Fund - Unclaimed Dividend Plan- U
141162 - - Edelweiss Liquid Fund - Unclaimed Redemption Plan
141160 - - Edelweiss Liquid Fund - Unclaimed Redemption Plan

Escorts Mutual Fund

103226 - INF966L01275 Escorts Liquid Plan-Daily Dividend Option


120836 - INF966L01770 Escorts Liquid Plan-Daily Dividend Option-Direct Pla
103225 INF966L01317 - Escorts Liquid Plan-Growth Option
120837 INF966L01820 - Escorts Liquid Plan-Growth Option-Direct Plan
103228 INF966L01291 INF966L01309 Escorts Liquid Plan-Monthly Dividend Option
120838 INF966L01796 INF966L01812 Escorts Liquid Plan-Monthly Dividend Option-Direct
103227 - INF966L01283 Escorts Liquid Plan-Weekly Dividend Option
120839 INF966L01788 INF966L01804 Escorts Liquid Plan-Weekly Dividend Option-Direct P

Essel Mutual Fund

119163 - INF959L01AX7 Essel Liquid Fund-Direct Plan-Dividend Option-Daily


119161 INF959L01AR9 INF959L01AS7 Essel Liquid Fund-Direct Plan-Dividend Option-Mont
119162 INF959L01AU3 INF959L01AW9 Essel Liquid Fund-Direct Plan-Dividend Option-Week
119164 INF959L01AT5 - Essel Liquid Fund-Direct Plan-Growth Option
112647 INF959L01BD7 INF959L01BE5 Essel Liquid Fund-Regular Plan- Monthly Dividend O
112645 - INF959L01BB1 Essel Liquid Fund-Regular Plan-Daily Dividend Opti
112636 INF959L01AV1 - Essel Liquid Fund-Regular Plan-Growth Option
112646 INF959L01AZ2 INF959L01BA3 Essel Liquid Fund-Regular Plan-Weekly Dividend Op
140437 INF959L01CO2 - Essel Liquid Fund-Unclaimed Redemption and Divide
139386 INF959L01CN4 - Essel Liquid Fund-Unclaimed Redemption and Divide

Franklin Templeton Mutual Fund

118507 - INF090I01LL9 Franklin India Cash Management Account - Direct -


118508 INF090I01LM7 - Franklin India Cash Management Account - Direct -
101044 - INF090I01LN5 Franklin India Cash Management Account-Dividend
101048 INF090I01LK1 - Franklin India Cash Management Account-Growth Pl
102443 - INF090I01BC9 Franklin India Treasury Management - Institution-Dai
102441 INF090I01BD7 - Franklin India Treasury Management - Institution-Gr
102442 INF090I01BJ4 INF090I01BE5 Franklin India Treasury Management - Institution-We
118577 INF090I01JV2 - Franklin India TREASURY MANAGEMENT ACCOUNT - Su
118578 - INF090I01JW0 Franklin India TREASURY MANAGEMENT ACCOUNT - Sup
118579 INF090I01JX8 INF090I01JY6 Franklin India TREASURY MANAGEMENT ACCOUNT - Su
139890 INF090I01LP0 - Franklin India TREASURY MANAGEMENT ACCOUNT -
139889 INF090I01LO3 - Franklin India TREASURY MANAGEMENT ACCOUNT -
100541 - INF090I01BA3 Franklin India Treasury Management Account-Regular
100538 INF090I01BB1 - Franklin India Treasury Management Account-Regula
100537 INF090I01BL0 INF090I01BI6 Franklin India Treasury Management Account-Regula
100547 - INF090I01BF2 Franklin India Treasury Management Account-Super In
100546 INF090I01BG0 - Franklin India Treasury Management Account-Super I
100548 INF090I01BM8 INF090I01BH8 Franklin India Treasury Management Account-Super I

HDFC Mutual Fund

101997 - - HDFC Cash Management Fund - Call Plan-Daily Div


101996 INF179KB1HS3 - HDFC Cash Management Fund - Call Plan-Growth O
119109 - - HDFC CM Call Plan -Direct Plan - Daily Dividend Op
119110 INF179KB1HT1 - HDFC CM Call Plan -Direct Plan - Growth Option
101994 - - HDFC Cash Management Fund - Savings Plan-Daily
101993 INF179KB1HR5 - HDFC Cash Management Fund - Savings Plan-Growt
101995 INF179K01KW5 - HDFC Cash Management Fund - Savings Plan-Weekl
119093 - - HDFC CM Savings -Direct Plan - Daily Dividend Opt
119092 INF179KB1HU9 - HDFC CM Savings -Direct Plan - Growth Option
119094 - - HDFC CM Savings -Direct Plan - Weekly Dividend O
119089 - INF179KB1HV7 HDFC Liquid Fund -Direct Plan - Daily Dividend Opti
119091 INF179KB1HP9 - HDFC Liquid Fund -Direct Plan - Growth Option
119090 INF179KB1HO2 INF179KB1HQ7 HDFC Liquid Fund -Direct Plan - Monthly Dividend O
119088 - - HDFC Liquid Fund -Direct Plan - Weekly Dividend Op
100875 - INF179KB1IC5 HDFC Liquid Fund-Dividend - Daily
100876 INF179KB1HM6 INF179KB1HL8 HDFC Liquid Fund-Dividend - Monthly
100874 INF179K01KJ2 - HDFC Liquid Fund-Dividend - Weekly
100868 INF179KB1HK0 - HDFC Liquid Fund-GROWTH
100877 - INF179K01KN4 HDFC Liquid Fund-Premium Plan - Dividend-Daily
100878 INF179K01KP9 - HDFC Liquid Fund-Premium Plan - Dividend-Weekly
100881 INF179K01KS3 - HDFC Liquid Fund-Premium Plus Plan - Dividend-W
100872 INF179K01KQ7 - HDFC Liquid Fund-PREMIUM PLUS- Growth
100873 INF179KB1HN4 - HDFC Liquid Fund-PREMIUM- Growth

HSBC Mutual Fund

118902 INF336L01BN7 - HSBC Cash Fund - Growth


120038 INF336L01CC8 - HSBC Cash Fund - Growth Direct
118901 - INF336L01BM9 HSBC Cash Fund - Daily Dividend
120037 - INF336L01CB0 HSBC Cash Fund - Daily Dividend Direct
101702 INF336L01305 INF336L01297 HSBC Cash Fund - Dividend - Monthly
101699 INF336L01339 - HSBC Cash Fund - Growth
101694 INF336L01370 INF336L01362 HSBC Cash Fund - Inst. - Dividend - Monthly
101691 INF336L01289 - HSBC Cash Fund - Inst. - Growth
118910 INF336L01BT4 - HSBC Cash Fund - Institutional Plan - Growth
118903 INF336L01BP2 INF336L01BO5 HSBC Cash Fund - Monthly Dividend
120039 INF336L01BZ1 INF336L01CA2 HSBC Cash Fund - Monthly Dividend Direct
101696 INF336L01271 - HSBC Cash Fund - Regular - Growth
118908 - INF336L01BR8 HSBC Cash Fund - Regular - Weekly Dividend
118906 INF336L01BK3 - HSBC Cash Fund - Regular- Dividend
139238 - - HSBC Cash Fund - Unclaimed Dividend Above 3 yea
139237 - - HSBC Cash Fund - Unclaimed Dividend Below 3 yea
139239 - - HSBC Cash Fund - Unclaimed Redemption Above 3
139240 - - HSBC Cash Fund - Unclaimed Redemption Below 3
118904 INF336L01LJ4 INF336L01BQ0 HSBC Cash Fund - Weekly Dividend
120040 INF336L01LK2 INF336L01CD6 HSBC Cash Fund - Weekly Dividend Direct
118909 - INF336L01BS6 HSBC Cash Fund-Institutional Plan - Daily Dividend
118907 INF336L01BL1 - HSBC Cash Fund-Regular-Growth

ICICI Prudential Mutual Fund

100357 INF109K01UU5 INF109K01UT7 ICICI Prudential Liquid -Quarterly Dividend


100359 INF109K01VJ6 - ICICI Prudential Liquid Institutional Plus Plan - Div -
120198 INF109K01P99 INF109K01Q07 ICICI Prudential Liquid - Direct Plan - Annual Divide
120188 INF109K01Q15 - ICICI Prudential Liquid - Direct Plan - Daily Dividend
120191 INF109K01Q31 INF109K01Q23 ICICI Prudential Liquid - Direct Plan - Dividend Othe
120197 INF109K01Q49 - ICICI Prudential Liquid - Direct Plan - Growth
120187 INF109K01Q56 INF109K01Q64 ICICI Prudential Liquid - Direct Plan - Half Yearly D
120196 INF109K01Q72 INF109K01Q80 ICICI Prudential Liquid - Direct Plan - Quarterly Div
120190 INF109K01Q98 - ICICI Prudential Liquid - Direct Plan - Weekly Divid
115505 INF109K01VU3 INF109K01VT5 ICICI Prudential Liquid - Dividend Others
104308 INF109K01UX9 INF109K01UW1 ICICI Prudential Liquid - Half Yearly Dividend
103342 INF109K01VS7 - ICICI Prudential Liquid - Weekly Dividend
112119 INF109K01VD9 INF109K01VC1 ICICI Prudential Liquid -Annual Dividend
103343 INF109K01VP3 - ICICI Prudential Liquid -Daily Dividend
103340 INF109K01VQ1 - ICICI Prudential Liquid -Growth
130933 INF109KA1G94 - ICICI Prudential Liquid Plan - Bonus
120189 INF109K01R06 - ICICI Prudential Liquid Plan - Direct Plan - Monthly
130934 INF109KA1G86 - ICICI Prudential Liquid Plan - Direct Plan Bonus
103344 INF109K01VH0 - ICICI Prudential Liquid Plan - Institutional Option - I
139434 INF109KB1WR9 - ICICI Prudential Liquid Plan - Unclaimed Dividend
139433 INF109KB1WQ1 - ICICI Prudential Liquid Plan - Unclaimed Redemptio
103341 INF109K01VR9 - ICICI Prudential Liquid Plan -Monthly Dividend
101751 INF109K01VF4 - ICICI Prudential Liquid Institutional Plan - Growth
101748 INF109K01VE7 - ICICI Prudential Liquid Plan - Institutional - Daily - Di
101753 INF109K01VI8 - ICICI Prudential Liquid Plan - Institutional - Weekly -
101754 INF109K01UR1 - ICICI Prudential Liquid Plan Retail Daily Dividend
101750 INF109K01UQ3 - ICICI Prudential Liquid Plan Retail Growth
101755 INF109K01US9 - ICICI Prudential Liquid Plan Retail Monthly Dividend
101752 INF109K01UV3 - ICICI Prudential Liquid Plan Retail Weekly Dividend
130946 INF109KA1H85 - ICICI Prudential Money Market Fund - Direct Plan B
130945 INF109KA1H93 - ICICI Prudential Money Market Fund -Bonus
115328 INF109K01I72 - ICICI Prudential Money Market Fund Dividend
120209 INF109K01R22 - ICICI Prudential Money Market Fund Option - Direct P
120216 INF109K01R30 - ICICI Prudential Money Market Fund Option - Direct
120210 INF109K01R55 - ICICI Prudential Money Market Fund Option - Direct P
120211 INF109K01R14 - ICICI Prudential Money Market Fund Option - Direct
120213 INF109K01R63 INF109K01R71 ICICI Prudential Money Market Fund Option - Direct
120212 INF109K01R89 - ICICI Prudential Money Market Fund Option - Direct
101221 INF109K01TW3 - ICICI Prudential Money Market Fund Retail Growth (
103634 INF109K01TY9 - ICICI Prudential Money Market Fund Option - Daily
130013 INF109K01I64 - ICICI Prudential Money Market Fund Option - Divide
103633 INF109K01TX1 - ICICI Prudential Money Market Fund Option - Growt
103637 INF109K01UC3 INF109K01UB5 ICICI Prudential Money Market Fund Option - Monthl
103635 INF109K01TZ6 - ICICI Prudential Money Market Fund Option - Weekl
103636 INF109K01UA7 - ICICI Prudential Money Market Fund Option -Fortnigh

IDBI Mutual Fund

126163 INF397L01FP5 - IDBI Liquid Fund Bonus Direct


126164 INF397L01FO8 - IDBI Liquid Fund Bonus Regular
118345 INF397L01AH3 - IDBI Liquid Fund Growth Direct
113104 INF397L01976 INF397L01968 IDBI Liquid Fund- Monthly Dividend
118449 INF397L01AK7 INF397L01AJ9 IDBI Liquid Fund- Monthly Dividend Direct
113102 - INF397L01935 IDBI Liquid Fund-Daily Dividend
118450 - INF397L01AI1 IDBI Liquid Fund-Daily Dividend Direct
113096 INF397L01984 - IDBI Liquid Fund-Growth
113103 INF397L01950 INF397L01943 IDBI Liquid Fund-Weekly Dividend
118451 INF397L01AM3 INF397L01AL5 IDBI Liquid Fund-Weekly Dividend Direct

IDFC Mutual Fund

108694 INF194K01VP5 INF194K01VO8 IDFC Cash Fund - Inst Plan B - Periodic Div
118366 - INF194K01I78 IDFC Cash Fund -Direct Plan -Daily Dividend
118364 INF194K01I60 - IDFC Cash Fund -Direct Plan -Growth
118365 INF194K01J36 INF194K01J28 IDFC Cash Fund -Direct Plan -Monthly Dividend
118363 INF194K01J02 INF194K01I94 IDFC Cash Fund -Direct Plan -Periodic Dividend
118367 - INF194K01J51 IDFC Cash Fund -Direct Plan -Weekly Dividend
108692 INF194K01VZ4 INF194K01VY7 IDFC Cash Fund -Regular Plan-Daily Dividend
108690 INF194K01VX9 - IDFC Cash Fund -Regular Plan-Growth
108693 INF194K01WF4 INF194K01WE7 IDFC Cash Fund -Regular Plan-Monthly Dividend
115489 INF194K01WC1 INF194K01WB3 IDFC Cash Fund -Regular Plan-Periodic Dividend
108691 INF194K01WI8 INF194K01WH0 IDFC Cash Fund -Regular Plan-Weekly Dividend
139582 INF194KA14C0 - IDFC Cash Fund -Unclaimed Dividend Less than Thr
139583 INF194KA15C7 - IDFC Cash Fund -Unclaimed Dividend More than Th
139584 INF194KA12C4 - IDFC Cash Fund -Unclaimed Redemption Less than
139585 INF194KA13C2 - IDFC Cash Fund -Unclaimed Redemption More than
108779 INF194K01VC3 INF194K01VB5 IDFC Cash Fund-Plan A-Dividend (Daily)
108778 INF194K01UX1 - IDFC Cash Fund-Plan A-Growth
115486 INF194K01VF6 INF194K01VE9 IDFC Cash Fund-Plan A-Monthly
115487 INF194K01UZ6 INF194K01UY9 IDFC Cash Fund-Plan A-Periodic Dividend
108607 INF194K01VI0 INF194K01VH2 IDFC Cash Fund - Plan A-Dividend (Weekly)
108781 INF194K01VK6 - IDFC Cash Fund - Plan B (G) (Institutional Plan)
108629 INF194K01VS9 INF194K01VR1 IDFC CF - Plan B - Dividend-Weekly
108681 INF194K01VM2 INF194K01VL4 IDFC CF - Plan B-Daily-Dividend(Institutional Plan)

IIFL Mutual Fund


125349 - INF579M01688 IIFL LIQUID FUND DIRECT PLAN DAILY DIVIDE
125345 INF579M01621 - IIFL LIQUID FUND DIRECT PLAN GROWTH
125343 INF579M01639 INF579M01696 IIFL LIQUID FUND DIRECT PLAN WEEKLY DIVID
125342 - INF579M01563 IIFL LIQUID FUND REGULAR PLAN DAILY DIVI
125259 INF579M01506 - IIFL LIQUID FUND REGULAR PLAN GROWTH
125337 INF579M01514 INF579M01571 IIFL LIQUID FUND REGULAR PLAN WEEKLY DIV

Indiabulls Mutual Fund

115992 - INF666M01022 Indiabulls Liquid Fund - Daily Dividend Option


119136 - INF666M01469 Indiabulls Liquid Fund - Direct Plan - Daily Dividend
119138 INF666M01501 INF666M01485 Indiabulls Liquid Fund - Direct Plan - Fortnightly Div
119135 INF666M01451 - Indiabulls Liquid Fund - Direct Plan - Growth Option
119139 INF666M01519 INF666M01493 Indiabulls Liquid Fund - Direct Plan - Monthly Divide
119137 INF666M01527 INF666M01477 Indiabulls Liquid Fund - Direct Plan - Weekly Divide
115994 INF666M01063 INF666M01048 Indiabulls Liquid Fund - Fortnightly Dividend Option
115991 INF666M01014 - Indiabulls Liquid Fund - Growth Option
115995 INF666M01071 INF666M01055 Indiabulls Liquid Fund - Monthly Dividend Option
115993 INF666M01089 INF666M01030 Indiabulls Liquid Fund - Weekly Dividend Option

Invesco Mutual Fund

122786 INF205K01UX5 - Invesco India Liquid Fund - Bonus Option


104484 - INF205K01HN3 Invesco India Liquid Fund - Daily Dividend
120537 INF205K01MF9 - Invesco India Liquid Fund - Direct Plan - Growth
120536 INF205K01MG7 INF205K01MH5 Invesco India Liquid Fund - Direct Plan - Monthly Di
120535 - INF205K01MI3 Invesco India Liquid Fund - Direct Plan - Weekly Div
120534 - INF205K01ME2 Invesco India Liquid Fund - Direct Plan- Daily Divid
104486 INF205K01HM5 - Invesco India Liquid Fund - Growth
104492 INF205K01HQ6 INF205K01HP8 Invesco India Liquid Fund - Monthly Dividend
104488 INF205K01HG7 - Invesco India Liquid Fund - Regular - Growth
104489 - INF205K01HH5 Invesco India Liquid Fund - Regular - Weekly Divide
139389 - - Invesco India Liquid Fund - Unclaimed Dividend Plan
139387 - - Invesco India Liquid Fund - Unclaimed Redemption P
104485 - INF205K01HO1 Invesco India Liquid Fund - Weekly Dividend

JM Financial Mutual Fund

122314 INF192K01EV3 - JM Floater Short Term Fund (Direct) - Bonus Option -


120414 - INF192K01CF0 JM Floater Short Term Fund (Direct) - Daily Dividend
120415 INF192K01CG8 - JM Floater Short Term Fund (Direct) - Growth Option
133413 INF192K01IT8 INF192K01IU6 JM Floater Short Term Fund (Direct) - Monthly Divid
133391 INF192K01IX0 - JM Floater Short Term Fund - (Direct) - Half Yearly B
122322 INF192K01ET7 - JM Floater Short Term Fund - Bonus Option - Princip
101420 - INF192K01767 JM Floater Short Term Fund - Daily Dividend Option
101421 INF192K01775 - JM Floater Short Term Fund - Growth Option
133393 INF192K01IV4 - JM Floater Short Term Fund - Half Yearly Bonus Optio
133392 INF192K01IR2 INF192K01IS0 JM Floater Short Term Fund - Monthly Dividend Opti
101549 INF192K01890 - JM HIGH LIQUIDITY - BONUS OPTION
101078 - INF192K01833 JM HIGH LIQUIDITY DAILY DIVIDEND PLAN
120407 INF192K01CI4 INF192K01CJ2 JM High Liquidity Fund (Direct) - Weekly Dividend O
120410 INF192K01CN4 - JM High Liquidity Fund (Direct) - Bonus Option - Bonu
120411 - INF192K01CH6 JM High Liquidity Fund (Direct) - Daily Dividend Opti
120406 INF192K01CM6 - JM High Liquidity Fund (Direct) - Growth Option
120408 INF192K01CK0 INF192K01CL8 JM High Liquidity Fund (Direct) - Quarterly Dividend
100233 INF192K01841 INF192K01858 JM High Liquidity Fund - Weekly Dividend Option
139258 INF192K01LB0 - JM High Liquidity Fund Unclaimed Dividend (Direct)
139260 INF192K01LD6 - JM High Liquidity Fund Unclaimed Dividend IEF (Dir
139257 INF192K01LA2 - JM High Liquidity Fund Unclaimed Redemption (Dire
139259 INF192K01LC8 - JM High Liquidity Fund Unclaimed Redemption IEF (
100241 INF192K01924 INF192K01932 JM High Liquidity Fund-- Institutional Plan - Dividend
100237 INF192K01940 - JM High Liquidity Fund-- Institutional Plan - Growth
100244 INF192K01866 INF192K01874 JM High Liquidity Fund-- Quarterly Dividend
100234 INF192K01882 - JM High Liquidity Fund-Growth
100238 - INF192K01916 JM High Liquidity Fund-Institutional Plan - Daily Divi
100245 - INF192K01957 JM High Liquidity Fund-Super Institutional Plan- Dail
100247 INF192K01981 - JM High Liquidity Fund-Super Institutional Plan- Gro
100246 INF192K01965 INF192K01973 JM High Liquidity Fund-Super Institutional Plan- Wee

Kotak Mahindra Mutual Fund

106842 - INF174K01ND0 Kotak Floater Short Term - (Daily Dividend)


119745 INF174K01MZ5 - Kotak Floater Short Term - (Daily Dividend) - Direct
101893 INF174K01NA6 - Kotak Floater Short Term-(Growth)
119746 INF174K01MW2 - Kotak Floater Short Term-(Growth) - Direct
101894 - INF174K01NC2 Kotak Floater Short Term-(Weekly Dividend)
119748 - INF174K01MY8 Kotak Floater Short Term-(Weekly Dividend) - Direct
119747 INF174K019O8 INF174K01MX0 Kotak Floater Short Term-Direct Plan-Monthly Divid
101892 INF174K018O0 INF174K01NB4 Kotak Floater Short Term-Regular Plan-Monthly Divi
119764 INF174K01NH1 - Kotak Liquid - Daily Dividend - Direct
119766 INF174K01NE8 - Kotak Liquid - Growth - Direct
119765 INF174K01NG3 - Kotak Liquid - Weekly Dividend - Direct
100833 INF174K01NL3 - Kotak Liquid Regular Plan Daily Dividend
100835 INF174K01NI9 - Kotak Liquid Regular Plan Growth
100834 INF174K01NK5 - Kotak Liquid Regular Plan Weekly Dividend
100830 INF174K01FZ9 - Kotak Liquid-Institutional Plan (Growth)
100832 - INF174K01GB8 Kotak Liquid-Institutional Plan (Weekly Dividend)
100828 - INF174K01FY2 Kotak Liquid-Regular (Dividend)
100829 INF174K01NM1 - Kotak Liquid-Regular (Growth)

L&T Mutual Fund

118066 INF917K01EL4 INF917K01EM2 L&T Cash Fund - Regular Plan - Monthly Dividend
119283 INF917K01EN0 - L&T Cash Fund - Direct Plan - Growth
119284 - INF917K01EO8 L&T Cash Fund - Direct Plan- Daily Dividend
119282 INF917K01ER1 - L&T Cash Fund - Direct Plan- Monthly Dividend
119285 - INF917K01EP5 L&T Cash Fund - Direct Plan- Weekly Dividend
118059 INF677K01AP3 - L&T Cash Fund - Institutional Plan - Growth Option
118056 - INF917K01EJ8 L&T Cash Fund - Regular Plan - Daily Dividend
118058 INF917K01EI0 - L&T Cash Fund - Regular Plan - Growth
118065 - INF917K01EK6 L&T Cash Fund - Regular Plan - Weekly Dividend
129923 INF917K01QI4 - L&T Liquid Fund - Direct Plan - Bonus
122235 - INF917K01HE2 L&T Liquid Fund - Direct Plan - Weekly Dividend
119791 INF917K01HG7 - L&T Liquid Fund - Direct Plan -Daily Dividend
119790 INF917K01HF9 - L&T Liquid Fund - Direct Plan -Growth
112458 INF917K01BK2 INF917K01JG3 L&T Liquid Fund - Regular Plan - Weekly Dividend
129924 INF917K01QH6 - L&T Liquid Fund -Regular Plan - Bonus
112445 INF917K01JB4 - L&T Liquid Fund -Regular Plan - Daily Dividend
112457 INF917K01JH1 - L&T Liquid Fund -Regular Plan - Growth
112456 INF917K01BJ4 - L&T Liquid Fund-Cum -Institutional Plus
112442 INF917K01BF2 - L&T Liquid Fund-Regular Cumulative

LIC Mutual Fund

120248 INF767K01DL5 INF767K01DM3 LIC MF Liquid Fund-Direct Plan-Dividend


120249 INF767K01DN1 - LIC MF Liquid Fund-Direct Plan-Growth
101184 INF767K01IQ3 INF767K01IR1 LIC MF Liquid Fund-Regular Plan-Dividend
101185 INF767K01IS9 - LIC MF Liquid Fund-Regular Plan-Growth

Mahindra Mutual Fund

139535 - INF174V01051 Mahindra Liquid Fund - Direct Plan - Daily Dividend


139536 - INF174V01069 Mahindra Liquid Fund - Direct Plan - Weekly Divide
139538 INF174V01044 - Mahindra liquid Fund - Direct Plan -Growth
139534 - INF174V01028 Mahindra Liquid Fund - Regular Plan - Daily Divide
139537 INF174V01010 - Mahindra Liquid Fund - Regular Plan - Growth
139541 - INF174V01036 Mahindra Liquid Fund - Regular Plan - Weekly Divi

Mirae Asset Mutual Fund

111647 - INF769K01804 Mirae Asset Cash Management Fund - Daily Dividen


118861 - INF769K01CO7 Mirae Asset Cash Management Fund - Direct Plan -
118859 INF769K01CM1 - Mirae Asset Cash Management Fund - Direct Plan -
118860 INF769K01CN9 INF769K01CQ2 Mirae Asset Cash Management Fund - Direct Plan -
118862 - INF769K01CP4 Mirae Asset Cash Management Fund - Direct Plan -
111646 INF769K01788 - Mirae Asset Cash Management Fund - Growth
111645 INF769K01838 INF769K01820 Mirae Asset Cash Management Fund - Monthly Divi
111644 - INF769K01812 Mirae Asset Cash Management Fund - Weekly Divid

PRINCIPAL Mutual Fund

100895 - INF173K01DB7 Principal Cash Management Fund - Daily Dividend


119467 - INF173K01GT2 Principal Cash Management Fund - Direct Plan - Divi
119469 - INF173K01GY2 Principal Cash Management Fund - Direct Plan - Div
119468 INF173K01GU0 - Principal Cash Management Fund - Direct Plan - Gr
100897 INF173K01BV9 INF173K01BW7 Principal Cash Management Fund - Monthly Dividen
100896 - INF173K01DC5 Principal Cash Management Fund - Weekly Dividend
119466 INF173K01GV8 INF173K01GW6 Principal Cash Management Fund -Direct Plan - Divi
100898 INF173K01DA9 - Principal Cash Management Fund -Growth Option

Quantum Mutual Fund

103736 - INF082J01135 Quantum Liquid Fund - Direct Plan Daily Dividend R


103734 INF082J01127 - Quantum Liquid Fund - Direct Plan Growth Option
103735 INF082J01143 INF082J01200 Quantum Liquid Fund - Direct Plan Monthly Dividend
141065 - INF082J01317 Quantum Liquid Fund - Regular Plan Daily Dividend
141066 INF082J01309 - Quantum Liquid Fund - Regular Plan Growth Option
141067 INF082J01325 INF082J01333 Quantum Liquid Fund - Regular Plan Monthly Divide

Reliance Mutual Fund

118610 INF204K01YH3 - Reliance Liquid Fund - Cash Plan - Direct Plan - Gr


118618 - INF204K01YF7 Reliance Liquid Fund - Cash Plan - Direct Plan Dail
118609 INF204K01YI1 INF204K01YJ9 Reliance Liquid Fund - Cash Plan - Direct Plan Mont
118612 INF204K01YK7 INF204K01YL5 Reliance Liquid Fund - Cash Plan - Direct Plan Quart
118611 - INF204K01YG5 Reliance Liquid Fund - Cash Plan - Direct Plan Wee
118695 - INF204K01ZG2 Reliance Liquid Fund - Treasury Plan - Direct Plan
118701 INF204K01ZH0 - Reliance Liquid Fund - Treasury Plan - Direct Plan
118696 INF204K01ZI8 INF204K01ZJ6 Reliance Liquid Fund - Treasury Plan - Direct Plan
118698 INF204K01ZK4 INF204K01ZL2 Reliance Liquid Fund - Treasury Plan - Direct Plan Q
118700 - INF204K01ZM0 Reliance Liquid Fund - Treasury Plan - Direct Plan
100849 - INF204K01UC2 Reliance Liquid Fund-Cash Plan-Daily Dividend Rei
100845 INF204K01UE8 - Reliance Liquid Fund-Cash Plan-Growth Plan
114251 INF204K01UF5 INF204K01UG3 Reliance Liquid Fund-Cash Plan-Monthly Dividend P
114252 INF204K01UH1 INF204K01UI9 Reliance Liquid Fund-Cash Plan-Quarterly Dividend
100848 - INF204K01UD0 Reliance Liquid Fund-Cash Plan-Weekly Dividend R
112340 INF204K01UQ2 INF204K01UR0 Reliance Liquid Fund-Treasury Plan - Quarterly Divi
100852 - INF204K01UM1 Reliance Liquid Fund-Treasury Plan -Daily Dividend
100851 INF204K01UN9 - Reliance Liquid Fund-Treasury Plan -Growth Plan
100855 INF204K01UO7 INF204K01UP4 Reliance Liquid Fund-Treasury Plan -Monthly Divide
100853 - INF204K01US8 Reliance Liquid Fund-Treasury Plan -Weekly Divide
100842 - INF204K01UJ7 Reliance Liquid Fund-Treasury Plan-Retail Option -
100837 INF204K01UL3 - Reliance Liquid Fund-Treasury Plan-Retail Option -
100838 - INF204K01UK5 Reliance Liquid Fund-Treasury Plan-Retail Plan - W
100843 INF204K01UT6 INF204K01UU4 Reliance Liquid Fund-Treasury Plan-Retail Plan Mon
100844 INF204K01UV2 INF204K01UW0 Reliance Liquid Fund-Treasury Plan-Retail Plan Quar
118718 - INF204K01ZN8 Reliance Liquidity Fund - Direct Plan Daily Dividend
118715 INF204K01G11 - Reliance Liquidity Fund - Direct Plan Growth Plan -
118719 INF204K01ZP3 - Reliance Liquidity Fund - Direct Plan Growth Plan -
118720 INF204K01ZQ1 INF204K01ZR9 Reliance Liquidity Fund - Direct Plan Monthly Divide
118716 INF204K01ZS7 INF204K01ZT5 Reliance Liquidity Fund - Direct Plan Quarterly Divi
118717 - INF204K01ZO6 Reliance Liquidity Fund - Direct Plan Weekly Divide
103050 - INF204K01UY6 Reliance Liquidity Fund-Dividend Plan-Daily Divide
103052 INF204K01VB2 INF204K01VC0 Reliance Liquidity Fund-Dividend Plan-Monthly Divi
112341 INF204K01VD8 INF204K01VE6 Reliance Liquidity Fund-Dividend Plan-Quarterly Div
103051 - INF204K01UZ3 Reliance Liquidity Fund-Dividend Plan-Weekly Divi
103049 INF204K01UX8 - Reliance Liquidity Fund-Growth Plan-Bonus Option
103048 INF204K01VA4 - Reliance Liquidity Fund-Growth Plan-Growth Option

Sahara Mutual Fund

101397 - INF515L01064 Sahara Liquid Fund-Fixed Pricing - Weekly Dividend


101393 - INF515L01049 Sahara Liquid Fund-Fixed Pricing - Daily Dividend O
120265 - INF515L01668 Sahara Liquid Fund-Fixed Pricing - Direct - Weekly
120262 INF515L01650 - Sahara Liquid Fund-Fixed Pricing - Direct -Growth op
101394 INF515L01056 - Sahara Liquid Fund-Fixed Pricing - Growth option
101398 - INF515L01072 Sahara Liquid Fund-Fixed Pricing - Monthly Dividend
120253 - INF515L01643 Sahara Liquid Fund-Fixed Pricing -Direct - Daily Divi
120266 - INF515L01676 Sahara Liquid Fund-Fixed Pricing -Direct - Monthly
101399 - INF515L01080 Sahara Liquid Fund-Variable Pricing - Daily Dividend
101402 INF515L01114 - Sahara Liquid Fund-Variable Pricing - Growth option
101400 - INF515L01098 Sahara Liquid Fund-Variable Pricing - Weekly Divid
120271 - INF515L01684 Sahara Liquid Fund-Variable Pricing -Direct - Daily D
120280 INF515L01718 - Sahara Liquid Fund-Variable Pricing -Direct - Growth
120272 - INF515L01692 Sahara Liquid Fund-Variable Pricing -Direct - Weekl
120273 - INF515L01700 Sahara Liquid Fund-Variable Pricing- Direct - Monthl
101401 - INF515L01106 Sahara Liquid Fund-Variable Pricing- Monthly Divide

SBI Mutual Fund

119829 INF200K01TH1 INF200K01TI9 SBI MAGNUM INSTA CASH FUND - DIRECT PLAN
103884 INF200K01LM8 INF200K01LL0 SBI MAGNUM INSTA CASH FUND - REGULAR PLA
119784 - INF200K01TG3 SBI MAGNUM INSTA CASH FUND - DIRECT PLAN
105080 - INF200K01LK2 SBI MAGNUM INSTA CASH FUND - REGULAR PLAN
119828 INF200K01TF5 - SBI MAGNUM INSTA CASH FUND - DIRECT PLAN
100641 INF200K01LJ4 - SBI MAGNUM INSTA CASH FUND - REGULAR PL
119831 - INF200K01TJ7 SBI MAGNUM INSTA CASH FUND - LIQUID FLOATE
119832 INF200K01TL3 INF200K01TM1 SBI MAGNUM INSTA CASH FUND - LIQUID FLOAT
103140 INF200K01LO4 INF200K01LP1 SBI MAGNUM INSTA CASH FUND - LIQUID FLOAT
114297 - INF200K01LN6 SBI MAGNUM INSTA CASH FUND - LIQUID FLOAT
119833 INF200K01TK5 - SBI MAGNUM INSTA CASH FUND - LIQUID FLOAT
101206 INF200K01LQ9 - SBI MAGNUM INSTA CASH FUND - LIQUID FLOA
119805 - INF200K01UQ0 SBI Premier Liquid Fund - DIRECT PLAN -Daily Divi
105281 - INF200K01LX5 SBI Premier Liquid Fund - REGULAR PLAN - Daily D
119804 INF200K01UR8 INF200K01US6 SBI Premier Liquid Fund - DIRECT PLAN -Fortnightl
105283 INF200K01LY3 INF200K01LZ0 SBI Premier Liquid Fund - REGULAR PLAN - Fortnigh
119800 INF200K01UT4 - SBI Premier Liquid Fund - DIRECT PLAN -Growth
105280 INF200K01MA1 - SBI Premier Liquid Fund - REGULAR PLAN -Growth
105279 INF200K01LS5 INF200K01LT3 SBI Premier Liquid Fund - Institutional - Fortnightly
105278 INF200K01LV9 INF200K01LW7 SBI Premier Liquid Fund - Institutional - Weekly Div
105275 - INF200K01LR7 SBI Premier Liquid Fund - Institutional - Daily Divide
105274 INF200K01LU1 - SBI Premier Liquid Fund - Institutional - Growth
119799 INF200K01UU2 INF200K01UV0 SBI Premier Liquid Fund - DIRECT PLAN - Weekly D
105282 INF200K01MB9 INF200K01MC7 SBI Premier Liquid Fund - REGULAR PLAN -Weekly

Sundaram Mutual Fund

119690 INF903J01RL8 - Sundaram Money Fund - Direct Plan - Bonus Option


119688 - INF903J01QA3 Sundaram Money Fund - Direct Plan - Daily Dividen
119692 - INF903J01QB1 Sundaram Money Fund - Direct Plan - Fortnightly Di
119686 INF903J01QF2 - Sundaram Money Fund - Direct Plan - Growth Optio
119687 INF903J01QC9 INF903J01QD7 Sundaram Money Fund - Direct Plan - Monthly Divid
119689 - INF903J01QE5 Sundaram Money Fund - Direct Plan - Quarterly Div
119691 - INF903J01QG0 Sundaram Money Fund - Direct Plan - Weekly Divid
100618 INF903J01GG1 - Sundaram Money Fund- Retail Appreciation
100620 - INF903J01GI7 Sundaram Money Fund- Retail Daily Dividend Reinv
100622 - INF903J01GK3 Sundaram Money Fund- Retail Fortnightly Div Reinvs
100623 INF903J01GH9 INF903J01GL1 Sundaram Money Fund- Retail Monthly Div. Reinvst
100619 - INF903J01GM9 Sundaram Money Fund- Retail Quarterly Dividend R
100621 - INF903J01GJ5 Sundaram Money Fund- Retail Weekly Div. Reinvst
103392 - INF903J01GW8 Sundaram Money Fund Regular Daily Div. Reinvest (F
103395 - INF903J01GY4 Sundaram Money Fund Regular fortnightly Div.Rein (F
118328 INF903J01MB0 - Sundaram Money Fund - Bonus Option
103397 INF903J01GU2 - Sundaram Money Fund Regular Growth (Formerly Supe
103396 INF903J01GV0 INF903J01GZ1 Sundaram Money Fund Regular monthly Div. (Formerly
103393 - INF903J01HA2 Sundaram Money Fund Regular Qrtly Div. Reinvest (F
103394 - INF903J01GX6 Sundaram Money Fund Regular weekly Dividend. Rein
102701 - INF903J01GP2 Sundaram Money Fund-Institutional Plan-Daily Div.
102702 - INF903J01GR8 Sundaram Money Fund-Institutional Plan-Fortnightly
102703 INF903J01GN7 - Sundaram Money Fund-Institutional Plan-Growth Opt
102704 INF903J01GO5 INF903J01GS6 Sundaram Money Fund-Institutional Plan-Monthly Di
102705 - INF903J01GT4 Sundaram Money Fund-Institutional Plan-Quarterly D
102706 - INF903J01GQ0 Sundaram Money Fund-Institutional Plan-Weekly Di
140006 INF903JA1567 - SUNDARAM MONEY FUND - UNCLAIMED AMOUNT
140005 INF903JA1575 - SUNDARAM MONEY FUND - UNCLAIMED AMOUNT
140003 INF903JA1542 - SUNDARAM MONEY FUND - UNCLAIMED AMOUNT
140004 INF903JA1559 - SUNDARAM MONEY FUND - UNCLAIMED AMOUNT

Tata Mutual Fund

101847 INF277K01LQ7 - Tata Liquid Fund-Regular Plan - Growth


119424 INF277K01PR6 - Tata Liquid Fund- Direct Plan- Growth
119423 INF277K01PS4 INF277K01PT2 Tata Liquid Fund- Direct Plan- Monthly Dividend
119422 INF277K013C2 - Tata Liquid Fund- Direct Plan- Weekly Dividend
119421 INF277K011C6 - Tata Liquid Fund- Direct Plan-Daily Dividend
101987 INF277K01LR5 INF277K01LS3 Tata Liquid Fund Reglar Plan - Monthly Dividend
101986 INF277K014C0 - Tata Liquid Fund-Regular Plan - Daily Dividend
101861 INF277K016C5 - Tata Liquid Fund-Regular Plan - Weekly Dividend
101984 - - Tata Liquid High Investment Plan - Daily
101860 INF277K01LN4 - Tata Liquid High Investment Plan - Growth
101985 INF277K01LO2 INF277K01LP9 Tata Liquid High Investment Plan - Monthly
101859 - - Tata Liquid High Investment Plan - Weekly
101982 - - Tata Liquid Retail Investment PLan - Daily
101983 - - Tata Liquid Retail Investment Plan - Fortnightly
101858 INF277K01LM6 - Tata Liquid Retail Investment Plan - Growth

Taurus Mutual Fund

140079 NOTAPP - Taurus Liquid Fund - Unclaimed Redemption & Divid


111760 INF044D01500 - Taurus Liquid Fund Insti Growth
111915 INF044D01534 - Taurus Liquid Fund S I Growth Plan
113248 - INF044D01526 Taurus Liquid Fund S I Weekly DIV
111703 - INF044D01518 Taurus Liquid Fund Super Insti Daily Div
118891 - INF044D01DI0 Taurus Liquid Fund-Direct Plan-Super Insti Daily Div
118893 INF044D01DK6 - Taurus Liquid Fund-Direct Plan-Super Insti Growth O
118892 - INF044D01DJ8 Taurus Liquid Fund-Direct Plan-Super Insti Weekly D
104240 INF044D01542 INF044D01559 Taurus Liquid Fund-Dividend
104241 INF044D01575 - Taurus Liquid Fund-Growth

Union Mutual Fund

115401 - INF582M01021 Union Liquid Fund - Daily Dividend Option


119301 - INF582M01682 Union Liquid Fund - Direct Plan - Daily Dividend Opt
119305 INF582M01724 INF582M01708 Union Liquid Fund - Direct Plan - Fortnightly Dividen
119303 INF582M01674 - Union Liquid Fund - Direct Plan - Growth Option
119302 INF582M01732 INF582M01716 Union Liquid Fund - Direct Plan - Monthly Dividend O
119304 - INF582M01690 Union Liquid Fund - Direct Plan - Weekly Dividend O
115399 INF582M01062 INF582M01047 Union Liquid Fund - Fortnightly Dividend Option
115398 INF582M01013 - Union Liquid Fund - Growth Option
115400 INF582M01070 INF582M01054 Union Liquid Fund - Monthly Dividend Option
115402 - INF582M01039 Union Liquid Fund - Weekly Dividend Option

UTI Mutual Fund

133973 INF789FA1J66 INF789FA1J74 UTI - Liquid Fund - Cash Plan - Instn Annual Div Opt
134427 INF789FA1K63 INF789FA1K71 UTI - Liquid Fund - Cash Plan - Instn Annual Div Opti
141768 - - UTI - Liquid Fund - Cash Plan - Instn Flexi Div Option
139838 INF789FA1J09 INF789FA1J17 UTI - Liquid Fund - Cash Plan - Instn Fortnightly Div
140913 - - UTI - Liquid Fund - Cash Plan - Instn Fortnightly Div
140504 - - UTI - Liquid Fund - Cash Plan - Instn Half Yearly Div
140024 INF789FA1K22 INF789FA1K30 UTI - Liquid Fund - Cash Plan - Instn Quarterly Div O
135721 INF789FA1J33 - UTI - Liquid Fund - Instn Quarterly Div Option
120794 INF789F01XR4 INF789F01XS2 UTI - Liquid Fund-Cash Plan-INST Mthl - Direct
102009 INF789F01BB4 - UTI- Liquid Fund-Cash Plan-Growth
102010 - INF789F01PG3 UTI- Liquid Fund-Cash Plan-INST - Daily Dividend
120558 - INF789F01XP8 UTI- Liquid Fund-Cash Plan-Inst Daily Dividend - Dir
102012 INF789F01PH1 - UTI- Liquid Fund-Cash Plan-INST Growth
120304 INF789F01XQ6 - UTI- Liquid Fund-Cash Plan-Inst Growth Direct
102011 INF789F01PI9 INF789F01PJ7 UTI- Liquid Fund-Cash Plan-INST Mthl
102013 - INF789F01PK5 UTI- Liquid Fund-Cash Plan-INST Wkly
120777 - INF789F01XT0 UTI- Liquid Fund-Cash Plan-INST Wkly-Direct
102008 INF789F01BC2 INF789F01BA6 UTI- Liquid Fund-Cash Plan-MTLY
102007 - INF789F01AZ5 UTI- Liquid Fund-Cash Plan-Regular Plan Periodic
140517 - - UTI-Liquid cash plan - instn Flexi Dividend Option

Open Ended Schemes(Money Market)

DSP BlackRock Mutual Fund

123288 - - DSP BlackRock Treasury Bill Fund - Direct Plan - Da


119108 INF740K01NV0 INF740K01NX6 DSP BlackRock Treasury Bill Fund - Direct Plan - Di
119106 INF740K01NU2 - DSP BlackRock Treasury Bill Fund - Direct Plan - G
119107 INF740K01NT4 INF740K01NW8 DSP BlackRock Treasury Bill Fund - Direct Plan - Mo
123287 - - DSP BlackRock Treasury Bill Fund - Regular Plan - D
100088 INF740K01706 INF740K01AJ2 DSP BlackRock Treasury Bill Fund - Regular Plan -
100087 INF740K01714 - DSP BlackRock Treasury Bill Fund - Regular Plan -
100089 INF740K01722 INF740K01AK0 DSP BlackRock Treasury Bill Fund - Regular Plan -
139306 - - DSP BlackRock Treasury Bill Fund - Unclaimed Divi
139305 - - DSP BlackRock Treasury Bill Fund - Unclaimed Divid
139304 - - DSP BlackRock Treasury Bill Fund - Unclaimed Red
139303 - - DSP BlackRock Treasury Bill Fund - Unclaimed Rede

Tata Mutual Fund

101714 INF277K011D4 - Tata Money Market Fund Regular Plan - Daily Divid
102672 INF277K01YD8 - Tata Money Market Fund -Regular Plan - Growth
102152 - - Tata Money Market Fund Regular (Bonus / Dividend)
102153 INF277K01LY1 - Tata Money Market Fund Regular (Growth)
119862 INF277K012D2 - Tata Money Market Fund- Direct Plan-Daily Dividend
119861 INF277K01YE6 - Tata Money Market Fund- Direct Plan-Growth

Taurus Mutual Fund

139619 - - Taurus Investor Education Pool - Unclaimed Dividen


139618 - - Taurus Investor Education Pool - Unclaimed Redemp
139616 - - Taurus Unclaimed Dividend - Growth
139617 - - Taurus Unclaimed Redemption - Growth

UTI Mutual Fund

134972 INF789FA1L88 INF789FA1L96 UTI MMF - Annual Dividend Option


134973 INF789FA1N03 INF789FA1N11 UTI MMF - Annual Dividend Option - Direct
139236 - - UTI MMF - Instn Flexi Div Option
135371 INF789FA1L05 INF789FA1L13 UTI MMF - Instn Fortnightly Div Option
135606 INF789FA1M20 INF789FA1M38 UTI MMF - Instn Fortnightly Div Option - Direct
112077 INF789F01PX8 - UTI MMF - Instn Growth Plan
120299 INF789F01XV6 - UTI MMF - Instn Growth Plan -Direct
134763 INF789FA1L62 INF789FA1L70 UTI MMF - Instn Half Yearly Div Option
140023 INF789FA1M87 INF789FA1M95 UTI MMF - Instn Half Yearly Div Option - Direct
112076 - INF789F01PW0 UTI MMF - Instn Plan-Daily Dividend
139646 INF789FA1L47 INF789FA1L54 UTI MMF - Instn Quarterly Div Option
112635 INF789F01PY6 INF789F01PZ3 UTI MMF - Instn Weekly Option
120793 INF789F01XW4 INF789F01XX2 UTI MMF - Instn Weekly Option- Direct
133484 INF789FA1L21 INF789FA1L39 UTI MMF - Monthly Div Option
133387 INF789FA1M46 INF789FA1M53 UTI MMF - Monthly Div Option - Direct
100723 INF789F01BF5 - UTI MMF-Growth
120772 - INF789F01XU8 UTI MMF-Instn Plan-Daily Dividend-Direct
100724 - INF789F01BD0 UTI MMF-Regular Plan - Flexi Dividend Option
100725 INF789F01BE8 - UTI MMF-Regular Plan - Periodic Dividend Option

Open Ended Schemes(Other ETFs)

Aditya Birla Sun Life Mutual Fund

115512 INF209K01IR4 - Aditya Birla Sun Life Nifty ETF


139581 INF209KB1119 - Aditya Birla Sun Life SENSEX ETF

Axis Mutual Fund


141545 INF846K01ZL0 - Axis Nifty ETF

Edelweiss Mutual Fund

134536 INF754K01EK3 - Edelweiss ETF - Nifty 50


135859 INF754K01EL1 - Edelweiss ETF - Nifty Bank
139367 INF754K01EM9 - Edelweiss ETF - Nifty Quality 30

HDFC Mutual Fund

135853 INF179KB1KP3 - HDFC Nifty ETF - Growth Option


135854 INF179KB1KQ1 - HDFC Sensex ETF - Growth option

ICICI Prudential Mutual Fund

141957 INF109KB15Y7 - BHARAT 22 ETF


139519 INF109KB1XT3 - ICICI Prudential Midcap Select iWIN ETF
123004 INF109KA1962 - ICICI Prudential Nifty 100 iWIN ETF
121366 INF109K012R6 - ICICI Prudential Nifty iWIN ETF
141596 INF109KB10T8 - ICICI Prudential Nifty Low Vol 30 iWIN ETF
139455 INF109KB1WY5 - ICICI Prudential NV20 iWIN ETF
101705 INF346A01034 - ICICI Prudential Sensex iWIN ETF

IDFC Mutual Fund

139839 INF194KA1U07 - IDFC Nifty ETF


139840 INF194KA1T91 - IDFC Sensex ETF

Invesco Mutual Fund

115284 INF205K01DA9 - Invesco India Nifty Exchange Traded Fund

Kotak Mahindra Mutual Fund

133122 INF174K01F59 - Kotak Banking ETF


112351 INF174K014P6 - Kotak Nifty ETF
135744 INF174K01Z71 - Kotak NV 20 ETF - Dividend
106929 INF373I01023 - Kotak PSU Bank ETF
109010 INF373I01031 - Kotak Sensex ETF

LIC Mutual Fund

136473 INF767K01PC8 - LIC MF Exchange Traded Fund-Nifty 100


135607 INF767K01OS7 - LIC MF Exchange Traded Fund-Nifty 50
135672 INF767K01OT5 - LIC MF Exchange Traded Fund-Sensex
133307 INF767K01MV5 - LIC MF G-Sec Long Term Exchange Traded Fund

Motilal Oswal Mutual Fund

113069 INF247L01536 - MOSt Shares M50


114456 INF247L01023 - MOSt Shares M100
114984 INF247L01031 - Motilal Oswal MOSt Shares NASDAQ-100 ETF (MO

Quantum Mutual Fund

108479 INF082J01028 - Quantum Nifty ETF

Reliance Mutual Fund

140107 INF457M01133 - CPSE ETF


140087 INF732E01078 - Reliance ETF Bank BeES
128331 INF204KA1LD7 - Reliance ETF Consumption
128639 INF204KA1MS3 - Reliance ETF Dividend Opportunities
140095 INF732E01227 - Reliance ETF Hang Seng BeES
140102 INF732E01268 - Reliance ETF Infra BeES
140085 INF732E01045 - Reliance ETF Junior BeES
140086 INF732E01037 - Reliance ETF Liquid BeES
139496 INF204KB1882 - Reliance ETF Long Term Gilt
121146 INF204K014N5 - Reliance ETF Nifty 100
140084 INF732E01011 - Reliance ETF Nifty BeES
134782 INF204KA17D8 - Reliance ETF NV20 ETF
140089 INF732E01110 - Reliance ETF PSU Bank BeES
131331 INF204KA1UN7 - Reliance ETF Sensex
140094 INF732E01128 - Reliance ETF Shariah BeES

SBI Mutual Fund

139430 INF200KA1JT1 - SBI-ETF 10 YEAR GILT


134014 INF200KA1572 - SBI-ETF BSE 100
134008 INF200KA1580 - SBI-ETF Nifty Bank
135106 INF200KA1FS1 - SBI-ETF Nifty 50
134013 INF200KA1598 - SBI-ETF Nifty Next 50
121109 INF200K01VT2 - SBI-ETF SENSEX

UTI Mutual Fund

135320 INF789FB1X41 - UTI NIFTY Exhcange Traded Fund


141665 - - UTI Nifty Next 50 Exchange Traded Fund
135321 INF789FB1X58 - UTI SENSEX Exchange Traded Fund
Net Asset Value Repurchase PriceSale Price Date

223.75 221.51 223.75 22-Dec-2017


812.04 803.92 812.04 22-Dec-2017
156.08 154.52 156.08 22-Dec-2017
771.94 764.22 771.94 22-Dec-2017
23.13 22.9 23.13 22-Dec-2017
53.1 52.57 53.1 22-Dec-2017
22.17 21.95 22.17 22-Dec-2017
51.06 50.55 51.06 22-Dec-2017

13.0525 13.0525 13.0525 22-Dec-2017


13.0533 13.0533 13.0533 22-Dec-2017
12.6318 12.6318 12.6318 22-Dec-2017
12.6262 12.6262 12.6262 22-Dec-2017
13.0524 12.6608 13.0524 22-Dec-2017
13.1458 12.7514 13.1458 22-Dec-2017
12.6305 12.2516 12.6305 22-Dec-2017
12.6249 12.2462 12.6249 22-Dec-2017
16.4791 16.3143 16.4791 22-Dec-2017
19.1401 18.9487 19.1401 22-Dec-2017
14.7966 14.6486 14.7966 22-Dec-2017
18.1417 17.9603 18.1417 22-Dec-2017

43.5 43.07 43.5 27-Dec-2016


19.54 19.34 19.54 22-Dec-2017
57.9 57.32 57.9 22-Dec-2017
21.31 21.1 21.31 22-Dec-2017
61.18 60.57 61.18 22-Dec-2017

10.9088 10.9088 10.9088 22-Dec-2017


11.2382 11.2382 11.2382 22-Dec-2017
10.7877 10.7877 10.7877 22-Dec-2017
11.1104 11.1104 11.1104 22-Dec-2017
12.4649 12.4649 12.4649 22-Dec-2017
10.9951 10.9951 10.9951 22-Dec-2017
15.1669 15.1669 15.1669 22-Dec-2017
14.8992 14.8992 14.8992 22-Dec-2017

153.75 153.75 153.75 22-Dec-2017


88.26 88.26 88.26 22-Dec-2017
148.69 148.69 148.69 22-Dec-2017
84.85 84.85 84.85 22-Dec-2017

41.809 41.391 41.809 22-Dec-2017


157.043 155.473 157.043 22-Dec-2017
15.488 15.333 15.488 8-Sep-2017
14.992 14.842 14.992 8-Sep-2017
150.935 149.426 150.935 22-Dec-2017
26.584 26.318 26.584 22-Dec-2017

12.0628 11.9422 12.0628 20-Sep-2017


12.3101 12.187 12.3101 20-Sep-2017
11.944 11.8246 11.944 20-Sep-2017
11.9429 11.8235 11.9429 20-Sep-2017
11.9449 11.8255 11.9449 20-Sep-2017

19.8873 19.6884 19.8873 22-Dec-2017


20.0742 19.8735 20.0742 22-Dec-2017
133.3093 131.9762 133.3093 22-Dec-2017
133.8742 132.5355 133.8742 22-Dec-2017

25.3301 25.0768 25.3301 22-Dec-2017


123.4609 122.2263 123.4609 22-Dec-2017
23.8205 23.5823 23.8205 22-Dec-2017
117.1241 115.9529 117.1241 22-Dec-2017

32.769 32.441 32.769 22-Dec-2017


151.36 149.846 151.36 22-Dec-2017
35.904 35.545 35.904 22-Dec-2017
158.037 156.457 158.037 22-Dec-2017
117.27 113.752 117.27 22-Dec-2017
44.0722 42.75 44.0722 18-Oct-2017
121.769 118.116 121.769 22-Dec-2017
45.8807 44.5043 45.8807 18-Oct-2017
33.115 32.784 33.115 22-Dec-2017
525.297 520.044 525.297 22-Dec-2017
38.908 38.519 38.908 22-Dec-2017
546.401 540.937 546.401 22-Dec-2017
16.543 16.378 16.543 22-Dec-2017
16.047 15.887 16.047 22-Dec-2017

137.93 136.55 137.93 22-Dec-2017


14.57 14.42 14.57 22-Dec-2017
32.38 32.06 32.38 22-Dec-2017
14.47 14.33 14.47 22-Dec-2017
130.61 129.3 130.61 22-Dec-2017
14.09 13.95 14.09 22-Dec-2017
25.88 25.62 25.88 22-Dec-2017
14.06 13.92 14.06 22-Dec-2017

11.7847 11.6669 11.7847 22-Dec-2017


11.5255 11.4102 11.5255 22-Dec-2017
12.3942 12.2703 12.3942 22-Dec-2017
12.1505 12.029 12.1505 22-Dec-2017

10.969 10.969 10.969 22-Dec-2017


11.872 11.872 11.872 22-Dec-2017
10.7442 10.7442 10.7442 22-Dec-2017
11.6379 11.6379 11.6379 22-Dec-2017

47.3134 47.3134 47.3134 22-Dec-2017


33.7337 33.7337 33.7337 22-Dec-2017
48.3364 48.3364 48.3364 22-Dec-2017
33.1978 33.1978 33.1978 22-Dec-2017
47.2795 47.2795 47.2795 22-Dec-2017
48.3364 48.3364 48.3364 22-Dec-2017
34.0841 34.0841 34.0841 22-Dec-2017
34.0823 34.0823 34.0823 22-Dec-2017
48.3364 48.3364 48.3364 22-Dec-2017
15.1098 15.1098 15.1098 22-Dec-2017
46.1029 46.1029 46.1029 22-Dec-2017
32.8659 32.8659 32.8659 22-Dec-2017
46.1029 46.1029 46.1029 22-Dec-2017
46.1029 46.1029 46.1029 22-Dec-2017
32.864 32.864 32.864 22-Dec-2017
32.603 32.603 32.603 22-Dec-2017
46.1029 46.1029 46.1029 22-Dec-2017
11.7002 11.7002 11.7002 22-Dec-2017
12.5556 12.5556 12.5556 22-Dec-2017
44.8896 44.8896 44.8896 22-Dec-2017

17.447 17.273 17.447 22-Dec-2017


26.427 26.163 26.427 22-Dec-2017
18.856 18.667 18.856 22-Dec-2017
24.88 24.631 24.88 22-Dec-2017

16.2484 16.0859 16.2484 22-Dec-2017


104.8024 103.7544 104.8024 22-Dec-2017
15.6181 15.4619 15.6181 22-Dec-2017
100.8265 99.8182 100.8265 22-Dec-2017

79.83 79.03 79.83 22-Dec-2017


29.38 29.09 29.38 22-Dec-2017
33.23 32.9 33.23 22-Dec-2017
76.23 75.47 76.23 22-Dec-2017

58.5688 57.9831 58.5688 22-Dec-2017


16.2614 16.0988 16.2614 ###
23.3068 23.0737 23.3068 22-Dec-2017
18.6893 18.5024 18.6893 22-Dec-2017
55.4596 54.905 55.4596 22-Dec-2017
15.9435 15.7841 15.9435 22-Dec-2017
11.9251 11.8058 11.9251 22-Dec-2017
11.6614 11.5448 11.6614 22-Dec-2017

44.063 43.6224 44.063 22-Dec-2017


30.494 30.1891 30.494 22-Dec-2017
133.8517 132.5132 133.8517 22-Dec-2017
127.9072 126.6281 127.9072 22-Dec-2017

83.8951 83.0561 83.8951 22-Dec-2017


86.3824 85.5186 86.3824 22-Dec-2017
16.2676 16.1049 16.2676 22-Dec-2017
15.6933 15.5364 15.6933 22-Dec-2017
14.2258 14.0835 14.2258 5-May-2016

216.879 214.7102 216.879 22-Dec-2017


72.4836 71.7588 72.4836 22-Dec-2017
85.2236 84.3714 85.2236 22-Dec-2017
81.796 80.978 81.796 22-Dec-2017
209.5344 207.4391 209.5344 22-Dec-2017
69.5298 68.8345 69.5298 22-Dec-2017
27.0409 26.7705 27.0409 22-Dec-2017
27.0409 26.5001 27.0409 22-Dec-2017
27.0409 26.2297 27.0409 22-Dec-2017
28.4796 27.91 28.4796 22-Dec-2017
28.4796 27.6252 28.4796 22-Dec-2017
28.4796 28.1948 28.4796 22-Dec-2017

12.3423 12.2806 12.3423 22-Dec-2017


15.4716 15.3942 15.4716 22-Dec-2017
11.8641 11.8048 11.8641 22-Dec-2017
14.9844 14.9095 14.9844 22-Dec-2017

172.8333 172.8333 172.8333 22-Dec-2017


176.6671 176.6671 176.6671 22-Dec-2017
31.75 31.75 31.75 22-Dec-2017
32.6056 32.6056 32.6056 22-Dec-2017
17.3822 17.3822 17.3822 30-Mar-2011
13.0672 13.0672 13.0672 30-Mar-2011

139.52 139.52 139.52 22-Dec-2017


42.38 42.38 42.38 22-Dec-2017
97.1 97.1 97.1 22-Dec-2017
40.33 40.33 40.33 22-Dec-2017
231.84 231.84 231.84 22-Dec-2017
163.95 163.95 163.95 22-Dec-2017
33.61 33.61 33.61 22-Dec-2017
32.21 32.21 32.21 22-Dec-2017
76.09 76.09 76.09 22-Dec-2017
35.1 35.1 35.1 22-Dec-2017
75.88 75.88 75.88 22-Dec-2017
73.9 73.9 73.9 22-Dec-2017
34.26 34.26 34.26 22-Dec-2017
73.8 73.8 73.8 22-Dec-2017

37.5629 37.5629 37.5629 22-Dec-2017


44.0927 44.0927 44.0927 22-Dec-2017
24.3355 24.3355 24.3355 22-Dec-2017
41.5974 41.5974 41.5974 22-Dec-2017

35.52 35.52 35.52 22-Dec-2017


41.64 41.64 41.64 22-Dec-2017
52.26 52.26 52.26 22-Dec-2017
49.21 49.21 49.21 22-Dec-2017
49.21 49.21 49.21 22-Dec-2017
52.26 52.26 52.26 22-Dec-2017

19.191 19.191 19.191 22-Dec-2017


40.76 40.76 40.76 22-Dec-2017
39.63 39.63 39.63 22-Dec-2017
18.999 18.999 18.999 22-Dec-2017

31.59 31.59 31.59 22-Dec-2017


18.36 18.36 0 22-Dec-2017
59.78 59.78 0 22-Dec-2017
57.21 57.21 57.21 22-Dec-2017
18.28 18.28 18.28 22-Dec-2017
61.23 61.23 61.23 22-Dec-2017

39.54 39.54 39.54 22-Dec-2017


61.58 61.58 61.58 22-Dec-2017
26.62 26.62 26.62 22-Dec-2017
59.94 59.94 59.94 22-Dec-2017

13.31 13.31 13.31 22-Dec-2017


14.67 14.67 14.67 22-Dec-2017
13.05 13.05 13.05 22-Dec-2017
14.36 14.36 14.36 22-Dec-2017
19.94 19.94 19.94 22-Dec-2017
20.77 20.77 20.77 22-Dec-2017
30.41 30.41 30.41 22-Dec-2017
33.41 33.41 33.41 22-Dec-2017
25.89 25.89 25.89 22-Dec-2017
31.34 31.34 31.34 22-Dec-2017

35.793 35.793 35.793 22-Dec-2017


50.139 50.139 50.139 22-Dec-2017
18.118 18.118 18.118 22-Dec-2017
48.523 48.523 48.523 22-Dec-2017

22.99 22.99 22.99 22-Dec-2017


50.55 50.55 50.55 22-Dec-2017
18.83 18.83 18.83 22-Dec-2017
48.45 48.45 48.45 22-Dec-2017
32.369 32.369 32.369 22-Dec-2017
43.289 43.289 43.289 22-Dec-2017
31.053 31.053 31.053 22-Dec-2017
41.193 41.193 41.193 22-Dec-2017

14.6187 14.6187 14.6187 22-Dec-2017


14.258 14.258 14.258 22-Dec-2017
94.5177 94.5177 94.5177 22-Dec-2017
95.3415 95.3415 95.3415 22-Dec-2017

14.8893 14.8893 14.8893 22-Dec-2017


14.992 14.992 14.992 22-Dec-2017
14.5213 14.5213 14.5213 22-Dec-2017
14.5204 14.5204 14.5204 22-Dec-2017

51.5022 51.5022 51.5022 22-Dec-2017


587.6997 587.6997 587.6997 22-Dec-2017
49.0119 49.0119 49.0119 22-Dec-2017
563.2516 563.2516 563.2516 22-Dec-2017

47.666 47.666 47.666 22-Dec-2017


354.631 354.631 354.631 22-Dec-2017
50.266 50.266 50.266 22-Dec-2017
365.012 365.012 365.012 22-Dec-2017
75.332 75.332 75.332 22-Dec-2017
577.528 577.528 577.528 22-Dec-2017
72.527 72.527 72.527 22-Dec-2017
560.551 560.551 560.551 22-Dec-2017

26.3191 26.3191 26.3191 22-Dec-2017


27.4963 27.4963 27.4963 22-Dec-2017
39.6174 39.6174 39.6174 22-Dec-2017
41.0753 41.0753 41.0753 22-Dec-2017

31.42 31.42 31.42 22-Dec-2017


376.17 376.17 376.17 22-Dec-2017
357.9 357.9 357.9 22-Dec-2017
23.84 23.84 23.84 22-Dec-2017

21.75 21.75 21.75 22-Dec-2017


20.71 20.71 20.71 22-Dec-2017
28.24 28.24 28.24 22-Dec-2017
27.07 27.07 27.07 22-Dec-2017

22.9223 22.9223 22.9223 22-Dec-2017


62.356 62.356 62.356 22-Dec-2017
19.0123 19.0123 19.0123 22-Dec-2017
59.2614 59.2614 59.2614 22-Dec-2017

23.74 23.74 23.74 22-Dec-2017


53.15 53.15 53.15 22-Dec-2017
22.36 22.36 22.36 22-Dec-2017
49.45 49.45 49.45 22-Dec-2017

17.5055 17.5055 17.5055 22-Dec-2017


17.9481 17.9481 17.9481 22-Dec-2017
16.8291 16.8291 16.8291 22-Dec-2017
16.8292 16.8292 16.8292 22-Dec-2017

20.833 20.833 20.833 22-Dec-2017


24.117 24.117 24.117 22-Dec-2017
43.131 43.131 43.131 22-Dec-2017
46.002 46.002 46.002 22-Dec-2017
58.872 58.872 58.872 22-Dec-2017
57.008 57.008 57.008 22-Dec-2017
30.857 30.857 30.857 22-Dec-2017
25.933 25.933 25.933 22-Dec-2017
33.89 33.89 33.89 22-Dec-2017
39.54 39.54 39.54 22-Dec-2017

20.1053 20.1053 20.1053 22-Dec-2017


68.3859 68.3859 68.3859 22-Dec-2017
19.2079 19.2079 19.2079 22-Dec-2017
65.4317 65.4317 65.4317 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
18.4896 18.4896 18.4896 22-Dec-2017
17.8763 17.8763 17.8763 22-Dec-2017
11.8825 11.8825 11.8825 22-Dec-2017
12.935 12.935 12.935 22-Dec-2017
11.54 11.54 11.54 22-Dec-2017
12.5723 12.5723 12.5723 22-Dec-2017

17.422 0 17.422 22-Dec-2017


16.726 0 16.726 22-Dec-2017
16.224 0 16.224 22-Dec-2017
16.933 0 16.933 22-Dec-2017

18.2441 18.2441 18.2441 22-Dec-2017


18.869 18.869 18.869 22-Dec-2017
17.4895 17.4895 17.4895 22-Dec-2017
18.1081 18.1081 18.1081 22-Dec-2017

207.62 207.62 207.62 22-Dec-2017


213.93 213.93 213.93 22-Dec-2017
222.58 222.58 222.58 22-Dec-2017
227.65 227.65 227.65 22-Dec-2017
227.65 227.65 227.65 22-Dec-2017
222.58 222.58 222.58 22-Dec-2017

53.35 53.35 53.35 22-Dec-2017


53.35 53.35 53.35 22-Dec-2017
53.28 53.28 53.28 22-Dec-2017
53.28 53.28 53.28 22-Dec-2017

14.6791 14.6791 14.6791 22-Dec-2017


14.4595 14.4595 14.4595 22-Dec-2017
25.7181 25.7181 25.7181 22-Dec-2017
68.4137 68.4137 68.4137 22-Dec-2017
30.8376 30.8376 30.8376 22-Dec-2017
71.0482 71.0482 71.0482 22-Dec-2017

18.5552 18.3696 18.5552 22-Dec-2017


18.8423 18.6539 18.8423 22-Dec-2017
79.2203 78.4281 79.2203 22-Dec-2017
82.0468 81.2263 82.0468 22-Dec-2017

61.431 61.431 61.431 22-Dec-2017


48.941 48.941 48.941 22-Dec-2017
153.6138 153.6138 153.6138 22-Dec-2017
149.3753 149.3753 149.3753 22-Dec-2017

14.7453 14.7453 14.7453 22-Dec-2017


15.1177 15.1177 15.1177 22-Dec-2017
109.6937 109.6937 109.6937 22-Dec-2017
107.6652 107.6652 107.6652 22-Dec-2017

80.7413 80.7413 80.7413 22-Dec-2017


18.4228 18.4228 18.4228 22-Dec-2017
107.8345 107.8345 107.8345 22-Dec-2017
19.1718 19.1718 19.1718 22-Dec-2017

36.05 36.05 36.05 22-Dec-2017


78.23 78.23 78.23 22-Dec-2017
35.38 35.38 35.38 22-Dec-2017
75.51 75.51 75.51 22-Dec-2017

25.23 25.23 25.23 22-Dec-2017


25.23 25.23 25.23 22-Dec-2017
15.49 15.49 15.49 22-Dec-2017
24.47 24.47 24.47 22-Dec-2017

92.7511 92.7511 92.7511 22-Dec-2017


23.089 23.089 23.089 22-Dec-2017
89.0944 89.0944 89.0944 22-Dec-2017
27.8469 27.8469 27.8469 22-Dec-2017

100.3055 100.3055 100.3055 22-Dec-2017


211.0296 211.0296 211.0296 22-Dec-2017
100.2813 100.2813 100.2813 22-Dec-2017
100.905 100.905 100.905 22-Dec-2017
208.6825 208.6825 208.6825 22-Dec-2017
100.2784 100.2784 100.2784 22-Dec-2017
301.8265 301.8265 301.8265 22-Dec-2017
100.2785 100.2785 100.2785 22-Dec-2017

10.2586 10.2586 10.2586 22-Dec-2017


10.284 10.284 10.284 22-Dec-2017
10.2588 10.2588 10.2588 22-Dec-2017
10.2598 10.2598 10.2598 22-Dec-2017
23.925 23.925 23.925 22-Dec-2017
26.7102 26.7102 26.7102 22-Dec-2017
10.2597 10.2597 10.2597 22-Dec-2017
24.1344 24.1344 24.1344 22-Dec-2017
26.9294 26.9294 26.9294 22-Dec-2017
10.2851 10.2851 10.2851 22-Dec-2017

14.5935 14.5935 14.5935 22-Dec-2017


14.6055 14.6055 14.6055 22-Dec-2017
26.5375 26.5375 26.5375 22-Dec-2017
26.6896 26.6896 26.6896 22-Dec-2017

10.02 10.02 10.02 22-Dec-2017


10.0012 10.0012 10.0012 22-Dec-2017
31.8386 31.8386 31.8386 22-Dec-2017
10.2858 10.2858 10.2858 22-Dec-2017
11.1827 11.1827 11.1827 22-Dec-2017
10.92 10.92 10.92 22-Dec-2017
31.1965 31.1965 31.1965 22-Dec-2017
10.3643 10.3643 10.3643 22-Dec-2017
0 0 0 7-Sep-2015
10.0589 10.0589 10.0589 22-Dec-2017

12.2482 12.2482 12.2482 22-Dec-2017


12.3274 12.3274 12.3274 22-Dec-2017
30.0088 30.0088 30.0088 22-Dec-2017
10.5089 10.5089 10.5089 22-Dec-2017
29.9307 29.9307 29.9307 22-Dec-2017
10.1756 10.1756 10.1756 22-Dec-2017
10.0776 10.0776 10.0776 22-Dec-2017
10.0786 10.0786 10.0786 22-Dec-2017
27.2773 27.2773 27.2773 22-Dec-2017
10.216 10.216 10.216 22-Dec-2017
10.1417 10.1417 10.1417 22-Dec-2017
12.5139 12.5139 12.5139 22-Dec-2017
10.1578 10.1578 10.1578 22-Dec-2017
27.6808 27.6808 27.6808 22-Dec-2017

11.8911 11.8792 11.8911 22-Dec-2017


11.576 11.5644 11.576 22-Dec-2017
27.2507 27.2234 27.2507 22-Dec-2017
26.4785 26.452 26.4785 22-Dec-2017
11.6184 11.6068 11.6184 22-Dec-2017
11.528 11.5165 11.528 22-Dec-2017
10.0779 10.0678 10.0779 22-Dec-2017
10.0774 10.0673 10.0774 22-Dec-2017
N.A. N.A. N.A. 5-Jun-2015

1022.9247 1022.9247 1022.9247 17-Nov-2015

1084.1923 1084.1923 1084.1923 22-Dec-2017


1094.8255 1094.8255 1094.8255 22-Dec-2017
1287.8855 1287.8855 1287.8855 22-Dec-2017
1277.5478 1277.5478 1277.5478 03-Oct-2017
1051.629 1051.629 0 22-Dec-2017
1964.0349 1964.0349 0 22-Dec-2017
1002.8125 1002.8125 0 22-Dec-2017
1065.5162 1065.5162 1065.5162 22-Dec-2017
1096.6008 1096.6008 1096.6008 22-Dec-2017
1053.0387 1053.0387 1053.0387 22-Dec-2017
1185.7485 1185.7485 1185.7485 22-Dec-2017
1247.4344 1247.4344 1247.4344 22-Dec-2017
1469.0805 1469.0805 1469.0805 22-Dec-2017
1076.7964 1076.7964 1076.7964 22-Dec-2017
1076.861 1076.861 1076.861 22-Dec-2017
1111.7948 1111.7948 1111.7948 22-Dec-2017
2776.351 2776.351 2776.351 22-Dec-2017
2855.8387 2855.8387 2855.8387 22-Dec-2017
1111.8615 1111.8615 1111.8615 22-Dec-2017
14.7874 14.6395 14.7874 22-Dec-2017
23.6043 23.3683 23.6043 22-Dec-2017
14.4784 14.3336 14.4784 22-Dec-2017
23.0889 22.858 23.0889 22-Dec-2017
13.4421 13.3077 13.4421 22-Dec-2017
14.1085 13.9674 14.1085 22-Dec-2017
25.9811 25.7213 25.9811 22-Dec-2017
28.2153 27.9331 28.2153 22-Dec-2017
21.1882 20.9763 21.1882 22-Dec-2017
23.1191 22.8879 23.1191 22-Dec-2017
20.5159 20.3107 20.5159 22-Dec-2017
22.4135 22.1894 22.4135 22-Dec-2017
12.0864 11.9655 12.0864 22-Dec-2017
17.813 17.6349 17.813 22-Dec-2017
15.8009 15.6429 15.8009 22-Dec-2017
17.3657 17.192 17.3657 22-Dec-2017
17.8994 17.7204 17.8994 22-Dec-2017
19.7437 19.5463 19.7437 22-Dec-2017
17.2885 17.1156 17.2885 22-Dec-2017
19.276 19.0832 19.276 22-Dec-2017
9.3013 9.2083 9.3013 22-Dec-2017
9.3047 9.2117 9.3047 22-Dec-2017
9.1867 9.0948 9.1867 22-Dec-2017
9.1879 9.096 9.1879 22-Dec-2017

9.5607 9.4651 9.5607 22-Dec-2017


9.5534 9.4579 9.5534 22-Dec-2017
8.9862 8.8963 8.9862 22-Dec-2017
8.976 8.8862 8.976 22-Dec-2017

8.6018 8.6018 8.6018 22-Dec-2017


8.6449 8.6449 8.6449 22-Dec-2017
8.5746 8.5746 8.5746 22-Dec-2017
8.5698 8.5698 8.5698 22-Dec-2017

14.8183 14.6701 14.8183 22-Dec-2017


11.073 10.9623 11.073 22-Dec-2017
14.3335 14.1902 14.3335 22-Dec-2017
10.7654 10.6577 10.7654 22-Dec-2017

41.3081 40.895 41.3081 22-Dec-2017


81.3519 80.5384 81.3519 22-Dec-2017
39.0081 38.618 39.0081 22-Dec-2017
77.5848 76.809 77.5848 22-Dec-2017
32.4189 32.0947 32.4189 22-Dec-2017
33.2577 32.9251 33.2577 22-Dec-2017
83.0956 82.2646 83.0956 22-Dec-2017
84.8637 84.0151 84.8637 22-Dec-2017
24.5961 24.4116 24.5961 22-Dec-2017
25.425 25.2343 25.425 22-Dec-2017
58.3006 57.8633 58.3006 22-Dec-2017
59.9285 59.479 59.9285 22-Dec-2017
15.548 15.4314 15.548 22-Dec-2017
15.9673 15.8475 15.9673 22-Dec-2017
45.8881 45.5439 45.8881 22-Dec-2017
47.4453 47.0895 47.4453 22-Dec-2017
13.9509 13.8114 13.9509 22-Dec-2017
14.3886 14.2447 14.3886 22-Dec-2017
33.7907 33.4528 33.7907 22-Dec-2017
34.9036 34.5546 34.9036 22-Dec-2017
35.0964 34.7454 35.0964 22-Dec-2017
35.8327 35.4744 35.8327 22-Dec-2017
14.8916 14.7427 14.8916 22-Dec-2017
14.5966 14.4506 14.5966 22-Dec-2017
12.0302 11.9099 12.0302 22-Dec-2017
12.6896 12.5627 12.6896 22-Dec-2017
12.0302 11.9099 12.0302 22-Dec-2017
12.6896 12.5627 12.6896 22-Dec-2017

16.8175 16.6493 16.8175 22-Dec-2017


19.1472 18.9557 19.1472 22-Dec-2017
16.1258 15.9645 16.1258 22-Dec-2017
18.4 18.216 18.4 22-Dec-2017
9.4999 9.3099 9.4999 22-Dec-2017
9.6738 9.4803 9.6738 22-Dec-2017

13.8134 13.8134 13.8134 22-Dec-2017


13.8134 13.8134 13.8134 22-Dec-2017
13.94 13.94 13.94 22-Dec-2017
18.0021 18.0021 18.0021 22-Dec-2017
18.1803 18.1803 18.1803 22-Dec-2017
18.0021 18.0021 18.0021 22-Dec-2017
18.1803 18.1803 18.1803 22-Dec-2017
16.9337 16.9337 16.9337 22-Dec-2017
10.2663 10.2663 10.2663 22-Dec-2017
16.9337 16.9337 16.9337 22-Dec-2017
17.0888 17.0888 17.0888 22-Dec-2017
63.2185 62.5863 63.2185 22-Dec-2017
63.2206 62.5884 63.2206 22-Dec-2017
61.8619 61.2433 61.8619 22-Dec-2017
61.8619 61.2433 61.8619 22-Dec-2017
32.0751 31.9949 32.0751 22-Dec-2017
32.2971 32.2164 32.2971 22-Dec-2017
31.4633 31.3846 31.4633 22-Dec-2017
31.4633 31.3846 31.4633 22-Dec-2017
27.4071 27.2701 27.4071 22-Dec-2017
27.3057 27.1692 27.3057 22-Dec-2017
26.9411 26.8064 26.9411 22-Dec-2017
26.9411 26.8064 26.9411 22-Dec-2017
50.5219 50.0167 50.5219 22-Dec-2017
50.5462 50.0407 50.5462 22-Dec-2017
49.4416 48.9472 49.4416 22-Dec-2017
49.4416 48.9472 49.4416 22-Dec-2017
9.9653 9.766 9.9653 22-Dec-2017
9.9649 9.7656 9.9649 22-Dec-2017
9.8496 9.6526 9.8496 22-Dec-2017
9.8496 9.6526 9.8496 22-Dec-2017
69.8322 69.1339 69.8322 22-Dec-2017
69.3204 68.6272 69.3204 22-Dec-2017
69.3204 68.6272 69.3204 22-Dec-2017

8.4074 8.3233 8.4074 22-Dec-2017


8.5732 8.4875 8.5732 22-Dec-2017

10.9785 10.9785 10.9785 22-Dec-2017


10.9938 10.9938 10.9938 22-Dec-2017
26.9975 26.9975 26.9975 22-Dec-2017
12.4315 12.4315 12.4315 22-Dec-2017
11.0319 11.0319 11.0319 26-Feb-2016
11.9303 11.9303 11.9303 22-Dec-2017
10.971 10.971 10.971 22-Dec-2017
10.9906 10.9906 10.9906 22-Dec-2017
26.4117 26.4117 26.4117 22-Dec-2017
11.6614 11.6614 11.6614 22-Dec-2017
12.2988 12.2988 12.2988 22-Dec-2017
10.955 10.955 10.955 22-Dec-2017
13.1088 13.1088 13.1088 22-Dec-2017
13.0589 13.0589 13.0589 22-Dec-2017
18.657 18.657 18.657 22-Dec-2017
23.4604 23.4604 23.4604 22-Dec-2017
16.9468 16.9468 16.9468 22-Dec-2017
23.0194 23.0194 23.0194 22-Dec-2017
14.579 14.579 14.579 22-Dec-2017
20.3782 20.3782 20.3782 22-Dec-2017
14.2769 14.2769 14.2769 22-Dec-2017
19.9771 19.9771 19.9771 22-Dec-2017
22.1408 22.1408 22.1408 22-Dec-2017
16.0927 16.0927 16.0927 22-Dec-2017
15.99 15.99 15.99 22-Dec-2017
21.7253 21.7253 21.7253 22-Dec-2017

9.0049 8.8248 9.0049 22-Dec-2017


9.0134 8.8331 9.0134 22-Dec-2017
8.9013 8.7233 8.9013 22-Dec-2017
8.9012 8.7232 8.9012 22-Dec-2017

75.28 74.527 75.28 22-Dec-2017


76.659 75.892 76.659 22-Dec-2017
73.301 72.568 73.301 22-Dec-2017
75.304 74.551 75.304 22-Dec-2017
12.0376 11.7968 12.0376 22-Dec-2017
12.3175 12.0712 12.3175 22-Dec-2017
12.0373 11.7966 12.0373 22-Dec-2017
12.3168 12.0705 12.3168 22-Dec-2017

13.9658 13.9658 13.9658 22-Dec-2017


13.7702 13.7702 13.7702 22-Dec-2017
12.1063 12.1063 12.1063 22-Dec-2017
11.998 11.998 11.998 22-Dec-2017
12.7179 12.7179 12.7179 22-Dec-2017
12.5243 12.5243 12.5243 22-Dec-2017

35.843 35.305 35.843 22-Dec-2017


35.843 35.305 35.843 22-Dec-2017
35.812 35.275 35.812 22-Dec-2017
35.812 35.275 35.812 22-Dec-2017
11.9587 11.9587 11.9587 22-Dec-2017
11.9476 11.9476 11.9476 22-Dec-2017
17.0146 16.8445 17.0146 22-Dec-2017
17.0091 16.839 17.0091 22-Dec-2017

12.5386 12.2878 12.5386 22-Dec-2017


12.5386 12.2878 12.5386 22-Dec-2017
12.2738 12.0283 12.2738 22-Dec-2017
12.2738 12.0283 12.2738 22-Dec-2017
9.3853 9.2914 9.3853 22-Dec-2017
9.2034 9.1114 9.2034 22-Dec-2017
9.2017 9.1097 9.2017 22-Dec-2017
9.3914 9.2975 9.3914 22-Dec-2017

11.2772 11.1644 11.2772 22-Dec-2017


12.7443 12.6169 12.7443 22-Dec-2017
12.6139 12.4878 12.6139 22-Dec-2017
12.6105 12.4844 12.6105 22-Dec-2017
17.5977 17.4217 17.5977 22-Dec-2017
17.5841 17.4083 17.5841 22-Dec-2017
17.2 17.028 17.2 22-Dec-2017
17.1891 17.0172 17.1891 22-Dec-2017
6.87 6.8 6.87 5-Feb-2016
6.87 6.8 6.87 5-Feb-2016
6.76 6.69 6.76 5-Feb-2016
6.76 6.69 6.76 5-Feb-2016

10.86 10.75 10.86 22-Dec-2017


14.12 13.98 14.12 22-Dec-2017
12.41 12.29 12.41 22-Dec-2017
13.5 13.37 13.5 22-Dec-2017
14.45 14.31 14.45 22-Dec-2017
15.41 15.26 15.41 22-Dec-2017
11.75 11.63 11.75 4-Jan-2017
16.09 15.93 16.09 22-Dec-2017
16.09 15.93 16.09 22-Dec-2017

11.6203 11.5041 11.6203 22-Dec-2017


11.6203 11.5041 11.6203 22-Dec-2017
11.4777 11.3629 11.4777 22-Dec-2017
11.4777 11.3629 11.4777 22-Dec-2017
22.9032 22.6742 22.9032 22-Dec-2017
22.9032 22.6742 22.9032 22-Dec-2017
17.6733 17.4966 17.6733 22-Dec-2017
22.1796 21.9578 22.1796 22-Dec-2017
15.1573 15.0057 15.1573 22-Dec-2017
16.0756 15.9148 16.0756 22-Dec-2017
12.803 12.675 12.803 22-Dec-2017
15.8125 15.6544 15.8125 22-Dec-2017
11.8329 11.7146 11.8329 22-Dec-2017
13.1227 12.9915 13.1227 22-Dec-2017
11.093 10.9821 11.093 22-Dec-2017
12.9706 12.8409 12.9706 22-Dec-2017
9.911 9.8119 9.911 22-Dec-2017
12.0998 11.9788 12.0998 22-Dec-2017
9.6951 9.5981 9.6951 22-Dec-2017
11.8404 11.722 11.8404 22-Dec-2017
8.2562 8.1736 8.2562 22-Dec-2017
8.2562 8.1736 8.2562 22-Dec-2017
8.0384 7.958 8.0384 22-Dec-2017
8.0384 7.958 8.0384 22-Dec-2017

20.517 20.312 20.517 22-Dec-2017


19.435 19.241 19.435 22-Dec-2017
12.2333 12.111 12.2333 22-Dec-2017
12.0523 11.9318 12.0523 22-Dec-2017
11.4342 11.3199 11.4342 22-Dec-2017
11.0168 10.9066 11.0168 22-Dec-2017
28.405 28.121 28.405 22-Dec-2017
27.049 26.779 27.049 22-Dec-2017
15.0232 14.873 15.0232 22-Dec-2017
14.5348 14.3895 14.5348 22-Dec-2017

10.4977 10.3927 10.4977 22-Dec-2017


10.4977 10.3927 10.4977 22-Dec-2017
9.991 9.8911 9.991 22-Dec-2017
9.991 9.8911 9.991 22-Dec-2017
24.3793 24.1355 24.3793 22-Dec-2017
24.3793 24.1355 24.3793 22-Dec-2017
25.6237 25.3675 25.6237 22-Dec-2017
25.6237 25.3675 25.6237 22-Dec-2017

13.2274 13.2274 13.2274 22-Dec-2017


13.5869 13.5869 13.5869 22-Dec-2017
13.2274 13.2274 13.2274 22-Dec-2017
13.5869 13.5869 13.5869 22-Dec-2017
7.5655 7.5655 7.5655 21-Dec-2017
7.5655 7.5655 7.5655 21-Dec-2017
7.3013 7.3013 7.3013 21-Dec-2017
7.3013 7.3013 7.3013 21-Dec-2017
13.8436 13.8436 13.8436 21-Dec-2017
14.4573 14.4573 14.4573 21-Dec-2017
13.3446 13.3446 13.3446 21-Dec-2017
13.9478 13.9478 13.9478 21-Dec-2017
12.214 12.214 12.214 21-Dec-2017
12.4584 12.4584 12.4584 21-Dec-2017

14.38 13.95 14.38 22-Dec-2017


14.38 13.95 14.38 22-Dec-2017
13.91 13.49 13.91 22-Dec-2017
13.91 13.49 13.91 22-Dec-2017

12.7677 12.64 12.7677 22-Dec-2017


12.8261 12.6978 12.8261 22-Dec-2017
12.239 12.1166 12.239 22-Dec-2017
12.2524 12.1299 12.2524 22-Dec-2017
11.3329 11.2196 11.3329 22-Dec-2017
11.3542 11.2407 11.3542 22-Dec-2017
10.8622 10.7536 10.8622 22-Dec-2017
10.8625 10.7539 10.8625 22-Dec-2017

15.263 15.11 15.263 22-Dec-2017


15.261 15.108 15.261 22-Dec-2017
14.8 14.652 14.8 22-Dec-2017
14.797 14.649 14.797 22-Dec-2017
7.189 7.117 7.189 21-Dec-2017
8.673 8.586 8.673 21-Dec-2017
7.471 7.396 7.471 21-Dec-2017
8.99 8.9 8.99 21-Dec-2017

29.1437 28.8523 29.1437 22-Dec-2017


28.5562 28.2706 28.5562 22-Dec-2017
29.1437 28.8523 29.1437 22-Dec-2017
28.5562 28.2706 28.5562 22-Dec-2017

15.0782 15.0782 15.0782 20-Dec-2017


16.8239 16.8239 16.8239 20-Dec-2017
14.0302 14.0302 14.0302 20-Dec-2017
16.3656 16.3656 16.3656 20-Dec-2017

50.3438 50.3438 50.3438 22-Dec-2017


49.9651 49.9651 49.9651 22-Dec-2017
10.1577 10.1577 10.1577 22-Dec-2017
11.9126 11.9126 11.9126 22-Dec-2017
49.1874 48.9415 49.1874 22-Dec-2017
47.9912 47.7512 47.9912 22-Dec-2017
10.1672 10.1164 10.1672 22-Dec-2017
9.9741 9.9242 9.9741 22-Dec-2017
10 10 10 22-Feb-2013
23.7552 23.7552 23.7552 11-Feb-2011

14.7352 14.7352 14.7352 6-Oct-2016


11.6661 11.6661 11.6661 3-Aug-2016
10.0168 10.0168 10.0168 22-Dec-2017
14.9824 14.9824 14.9824 22-Dec-2017
11.247 11.247 11.247 22-Dec-2017
10.0096 10.0096 10.0096 22-Dec-2017
15.3724 15.3724 15.3724 22-Dec-2017

20.2934 20.0905 20.2934 22-Dec-2017


26.479 26.2142 26.479 22-Dec-2017
23.9856 23.7457 23.9856 22-Dec-2017
27.7058 27.4287 27.7058 22-Dec-2017

10.6624 10.6624 10.6624 22-Dec-2017


10.0297 10.0297 10.0297 22-Dec-2017
10.7734 10.7734 10.7734 22-Dec-2017
15.6009 15.6009 15.6009 22-Dec-2017
10.3417 10.3417 10.3417 22-Dec-2017
15.0825 15.0825 15.0825 22-Dec-2017
9.9899 9.9899 9.9899 22-Dec-2017
9.9911 9.9911 9.9911 22-Dec-2017

13.5611 13.5611 13.5611 21-Dec-2015


14.4037 14.4037 14.4037 21-Dec-2015
13.3737 13.3737 13.3737 21-Dec-2015
14.2099 14.2099 14.2099 21-Dec-2015
14.8311 14.8311 14.8311 22-Dec-2017
47.6269 47.6269 47.6269 22-Dec-2017
15.2111 15.2111 15.2111 22-Dec-2017
48.7158 48.7158 48.7158 22-Dec-2017
13.8662 13.8662 13.8662 1-Aug-2016
14.364 14.364 14.364 22-Dec-2017
19.0434 19.0434 19.0434 22-Dec-2017
12.7278 12.7278 12.7278 22-Dec-2017
14.2356 14.2356 14.2356 22-Dec-2017
18.8188 18.8188 18.8188 22-Dec-2017
12.5703 12.5703 12.5703 22-Dec-2017

10.7537 10.7537 10.7537 22-Dec-2017


13.5503 13.5503 13.5503 22-Dec-2017
10.1558 10.1558 10.1558 22-Dec-2017
10.1968 10.1968 10.1968 22-Dec-2017
10.733 10.733 10.733 22-Dec-2017
13.441 13.441 13.441 22-Dec-2017
10.1446 10.1446 10.1446 22-Dec-2017
10.2556 10.2556 10.2556 22-Dec-2017
11.7541 11.7541 11.7541 22-Dec-2017
55.3511 55.3511 55.3511 22-Dec-2017
10.418 10.418 10.418 22-Dec-2017
11.654 11.654 11.654 22-Dec-2017
54.3502 54.3502 54.3502 22-Dec-2017
10.3688 10.3688 10.3688 22-Dec-2017

14.4123 14.4123 14.4123 22-Dec-2017


14.1634 14.1634 14.1634 22-Dec-2017
14.1663 14.1663 14.1663 22-Dec-2017
14.157 14.157 14.157 22-Dec-2017
10.6886 10.6886 10.6886 22-Dec-2017
10.6819 10.6819 10.6819 22-Dec-2017

31.7403 31.7403 31.7403 22-Dec-2017


31.7403 31.7403 31.7403 22-Dec-2017
34.6738 34.6738 34.6738 22-Dec-2017
34.6738 34.6738 34.6738 22-Dec-2017

57.9618 57.672 57.9618 22-Dec-2017


11.6572 11.5989 11.6572 22-Dec-2017
0 0 0 8-Jun-2015
41.0664 41.0664 41.0664 22-Dec-2017
11.8317 11.8317 11.8317 22-Dec-2017
25.1424 25.0167 25.1424 22-Dec-2017
11.0008 10.9458 11.0008 22-Dec-2017
55.6105 55.3324 55.6105 22-Dec-2017
0 0 0 8-Jun-2015
11.1556 11.1556 11.1556 22-Dec-2017
39.105 39.105 39.105 22-Dec-2017
24.4255 24.3034 24.4255 22-Dec-2017
24.4255 24.3034 24.4255 22-Dec-2017

11.3146 11.3146 11.3146 22-Dec-2017


35.458 35.458 35.458 22-Dec-2017
11.0371 11.0371 11.0371 22-Dec-2017
34.7596 34.7596 34.7596 22-Dec-2017
11.4998 11.4998 11.4998 22-Dec-2017
28.5943 28.5943 28.5943 22-Dec-2017
11.3074 11.3074 11.3074 22-Dec-2017
28.2044 28.2044 28.2044 22-Dec-2017

10.4098 10.3838 10.4098 22-Dec-2017


10.6009 10.5744 10.6009 22-Dec-2017
13.8071 13.7726 13.8071 22-Dec-2017
10.6305 10.6039 10.6305 22-Dec-2017
11.2995 11.2713 11.2995 22-Dec-2017
10.9469 10.9195 10.9469 22-Dec-2017
13.6821 13.6479 13.6821 22-Dec-2017
10.3577 10.3318 10.3577 22-Dec-2017
11.1071 11.0793 11.1071 22-Dec-2017
10.7089 10.6821 10.7089 22-Dec-2017
12.493 12.493 12.493 22-Dec-2017
60.7163 60.7163 60.7163 22-Dec-2017
12.274 12.274 12.274 22-Dec-2017
58.67 58.67 58.67 22-Dec-2017
12.8414 12.8414 12.8414 18-Aug-2016
14.3269 14.3269 14.3269 22-Dec-2017
12.2876 12.2876 12.2876 22-Dec-2017
44.4781 44.4781 44.4781 22-Dec-2017
10.7239 10.7239 10.7239 6-Oct-2017
12.1254 12.1254 12.1254 22-Dec-2017
43.5053 43.5053 43.5053 22-Dec-2017
11.2485 11.2485 11.2485 22-Dec-2017
10.0481 10.0481 10.0481 12-May-2015
12.6919 12.6919 12.6919 22-Dec-2017
10.7588 10.7588 10.7588 22-Dec-2017
34.9891 34.9891 34.9891 22-Dec-2017
34.4854 34.4854 34.4854 22-Dec-2017
11.1044 11.1044 11.1044 22-Dec-2017
13.8657 13.8657 13.8657 22-Dec-2017
14.2833 14.2833 14.2833 22-Dec-2017
11.5214 11.5214 N.A. 22-Dec-2017
13.2695 13.2695 13.2695 22-Dec-2017
25.7179 25.7179 25.7179 22-Dec-2017
25.1602 25.1602 25.1602 22-Dec-2017
11.0396 11.0396 N.A. 22-Dec-2017
13.1043 13.1043 13.1043 22-Dec-2017
13.0724 13.0724 13.0724 22-Dec-2017

10.4434 10.3912 10.4434 22-Dec-2017


10.8912 10.8367 10.8912 22-Dec-2017
14.1018 14.0313 14.1018 22-Dec-2017
14.517 14.4444 14.517 22-Dec-2017
10.0163 9.9662 10.0163 22-Dec-2017
11.0103 10.9552 11.0103 22-Dec-2017

10.8201 10.8201 10.8201 22-Dec-2017


10.7319 10.7319 10.7319 22-Dec-2017
10.5064 10.5064 10.5064 22-Dec-2017
33.01409138 33.01409138 33.01409138 17-Feb-2017
11.94521025 11.94521025 11.94521025 17-Feb-2017
14.38576854 14.38576854 14.38576854 17-Feb-2017
24.9784 24.9784 24.9784 22-Dec-2017
12.7223 12.7223 12.7223 22-Dec-2017
30.6205 30.6205 30.6205 22-Dec-2017
12.3243 12.3243 12.3243 22-Dec-2017
13.6391 13.6391 13.6391 22-Dec-2017
13.9426 13.9426 13.9426 22-Dec-2017
29.1968861 29.1968861 29.1968861 17-Feb-2017
11.43367593 11.43367593 11.43367593 17-Feb-2017
11.4601 11.4601 11.4601 22-Dec-2017
29.8392 29.8392 29.8392 22-Dec-2017
11.9403 11.9403 11.9403 22-Dec-2017
10.6628 10.6628 10.6628 22-Dec-2017
13.41600075 13.41600075 13.41600075 17-Feb-2017
25.1114 25.1114 25.1114 22-Dec-2017
10.4465 10.4465 10.4465 31-Aug-2017
10.9223 10.9223 10.9223 22-Dec-2017
15.7037 15.7037 15.7037 22-Dec-2017
10.3835 10.3835 10.3835 22-Dec-2017
13.4019 13.4019 13.4019 22-Dec-2017
13.3869 13.3869 13.3869 22-Dec-2017
10.0501 10.0501 10.0501 17-Jun-2010
10.1008 10.1008 10.1008 4-Jun-2010
10.0098 10.0098 10.0098 24-Aug-2009
10.1515 10.1515 10.1515 22-Dec-2017
11.7797 11.7797 11.7797 22-Dec-2017
11.4017 11.4017 11.4017 22-Dec-2017
20.8733 20.8733 20.8733 22-Dec-2017
10.3686 10.3686 10.3686 16-Dec-2014
10.5078 10.5078 10.5078 22-Dec-2017
10.5428 10.5428 10.5428 22-Dec-2017
20.2177 20.2177 20.2177 22-Dec-2017
13.6778 13.6778 13.6778 22-Dec-2017
13.6406 13.6406 13.6406 22-Dec-2017

1583.73 1583.73 1583.73 22-Dec-2017


1007.4642 1007.4642 1007.4642 22-Dec-2017
1007.9388 1007.9388 1007.9388 22-Dec-2017
997.5176 997.5176 997.5176 22-Dec-2017
1028.0072 1028.0072 1028.0072 22-Dec-2017
1508.78 1508.78 1508.78 22-Dec-2017
1027.5191 1027.5191 1027.5191 22-Dec-2017
1029.4874 1029.4874 1029.4874 22-Dec-2017

1498.9528 1498.9528 1498.9528 22-Dec-2017


1885.6143 1885.6143 1885.6143 22-Dec-2017
1661.5367 1661.5367 1661.5367 22-Dec-2017
1471.5383 1471.5383 1471.5383 22-Dec-2017
1115.969 1115.969 1115.969 22-Dec-2017
1806.5946 1806.5946 1806.5946 22-Dec-2017
1017.5412 1017.5412 1017.5412 22-Dec-2017
1018.3211 1018.3211 1018.3211 22-Dec-2017

56.1063 56.1063 56.1063 22-Dec-2017


25.7778 25.7778 25.7778 22-Dec-2017
26.2091 26.2091 26.2091 22-Dec-2017
28.7492 28.7492 28.7492 22-Dec-2017
26.2095 26.2095 26.2095 22-Dec-2017
26.0734 26.0734 26.0734 22-Dec-2017
25.1835 25.1835 25.1835 22-Dec-2017
26.3528 26.3528 26.3528 22-Dec-2017
54.1681 54.1681 54.1681 22-Dec-2017
25.1174 25.1174 25.1174 22-Dec-2017
25.1837 25.1837 25.1837 22-Dec-2017
24.7565 24.7565 24.7565 22-Dec-2017

11.4668 11.4668 11.4668 22-Dec-2017


58.8929 58.8929 58.8929 22-Dec-2017
61.9069 61.9069 61.9069 22-Dec-2017
12.8268 12.8268 12.8268 22-Dec-2017
13.6506 13.6506 13.6506 22-Dec-2017
57.565 57.565 57.565 22-Dec-2017
60.4582 60.4582 60.4582 22-Dec-2017

44.4785 44.4785 44.4785 22-Dec-2017


12.9396 12.9396 12.9396 22-Dec-2017
42.5545 42.5545 42.5545 22-Dec-2017
12.3292 12.3292 12.3292 22-Dec-2017

11.1351 11.1073 11.1351 22-Dec-2017


37.904 37.8092 37.904 22-Dec-2017
13.6121 13.5781 13.6121 22-Dec-2017
21.0356 20.983 21.0356 22-Dec-2017
10.6496 10.623 10.6496 22-Dec-2017
36.4213 36.3302 36.4213 22-Dec-2017

12.8837 12.8837 12.8837 22-Dec-2017


23.747 23.747 23.747 22-Dec-2017
23.8716 23.8716 23.8716 22-Dec-2017
23.8081 23.8081 23.8081 22-Dec-2017
11.166 11.166 11.166 22-Dec-2017
22.7905 22.7905 22.7905 22-Dec-2017
22.5963 22.5963 22.5963 22-Dec-2017
10.244 10.244 10.244 22-Dec-2017
18.9411 18.9411 18.9411 22-Dec-2017
22.5963 22.5963 22.5963 22-Dec-2017
13.3065 13.3065 13.3065 22-Dec-2017
12.9652 12.9652 12.9652 22-Dec-2017
23.0785 23.0785 23.0785 31-Jul-2017
22.5963 22.5963 22.5963 22-Dec-2017

14.3925 14.3925 14.3925 22-Dec-2017


13.6726 13.6726 13.6726 22-Dec-2017
38.903 38.903 38.903 22-Dec-2017
38.1214 38.1214 38.1214 22-Dec-2017
13.1319 13.1319 13.1319 22-Dec-2017
12.9575 12.9575 12.9575 22-Dec-2017
36.9181 36.9181 36.9181 22-Dec-2017
36.3694 36.3694 36.3694 22-Dec-2017
13.2827 13.2163 13.2827 22-Dec-2017
13.429 13.3619 13.429 22-Dec-2017
13.058 12.9927 13.058 22-Dec-2017
13.839 13.7698 13.839 22-Dec-2017
N.A. N.A. N.A. 4-Sep-2017
N.A. N.A. N.A. 4-Sep-2017
22.8642 22.7499 22.8642 22-Dec-2017
24.4713 24.3489 24.4713 22-Dec-2017

27.5647 27.5647 27.5647 22-Dec-2017


0 0 0 26-Sep-2013
28.1494 28.1494 28.1494 22-Dec-2017
12.2062 12.2062 12.2062 22-Dec-2017
12.5268 12.5268 12.5268 22-Dec-2017

18.8317 18.7375 18.8317 27-Oct-2017


31.1844 31.0285 31.1844 27-Oct-2017
19.4168 19.4168 19.4168 22-Dec-2017
18.1722 18.1722 18.1722 22-Dec-2017
15.9733 15.9733 15.9733 27-Oct-2017
17.6447 17.6447 17.6447 22-Dec-2017
18.6019 18.6019 18.6019 22-Dec-2017
15.4457 15.4457 15.4457 27-Oct-2017
22.5356 22.4229 22.5356 22-Dec-2017
22.5071 22.3946 22.5071 22-Dec-2017
49.5871 49.3392 49.5871 22-Dec-2017
14.3237 14.2521 14.3237 22-Dec-2017
25.4323 25.3051 25.4323 27-Oct-2017
15.0462 14.971 15.0462 22-Dec-2017
51.7969 51.5379 51.7969 22-Dec-2017

22.715 22.715 22.715 30-Aug-2012


11.1297 11.1297 11.1297 30-Aug-2012
13.1492 13.1492 0 22-Dec-2017
23.9837 23.9837 23.9837 22-Dec-2017
24.1305 24.1305 24.1305 22-Dec-2017
13.8976 13.8976 13.8976 22-Dec-2017
14.2029 14.2029 14.2029 22-Dec-2017
14.8006 14.8006 14.8006 6-Jan-2011
17.2101 17.2101 17.2101 22-Dec-2017
28.1306 28.1306 28.1306 22-Dec-2017
28.1462 28.1462 28.1462 22-Dec-2017
23.4681 23.4681 23.4681 22-Dec-2017
20.4882 20.4882 20.4882 22-Dec-2017
37.8336 37.8336 37.8336 22-Dec-2017
38.3651 38.3651 38.3651 22-Dec-2017
2699.9546 2699.9546 2699.9546 22-Dec-2017

2558.3582 2558.3582 2558.3582 22-Dec-2017

2680.9878 2680.9878 2680.9878 22-Dec-2017

2658.3609 0 0 22-Dec-2017

264.9012 N.A. N.A. 22-Dec-2017

2726.157 2726.157 0 22-Dec-2017

2661.4127 2661.4127 2661.4127 22-Dec-2017

257.183 257.183 257.183 22-Dec-2017

1285.6243 1285.6243 1285.6243 22-Dec-2017

2587.933 2587.933 2587.933 22-Dec-2017

2643.95 2643.95 2643.95 22-Dec-2017

2596.2226 0 2596.2226 22-Dec-2017

138.43 137.05 138.43 22-Dec-2017


467.78 463.1 467.78 22-Dec-2017
450.04 445.54 450.04 22-Dec-2017
110.06 108.96 110.06 22-Dec-2017
24.81 24.56 24.81 22-Dec-2017
29.3 29.01 29.3 22-Dec-2017
19.81 19.61 19.81 22-Dec-2017
28.2 27.92 28.2 22-Dec-2017
16.7209 16.5537 16.7209 22-Dec-2017
16.34 16.1766 16.34 22-Dec-2017
23.5317 23.2964 23.5317 22-Dec-2017
23.037 22.8066 23.037 22-Dec-2017
27.46 27.19 27.46 22-Dec-2017
17.76 17.58 17.76 22-Dec-2017
190.92 189.01 190.92 22-Dec-2017
183.67 181.83 183.67 22-Dec-2017
11.0891 11.0337 11.0891 22-Dec-2017
18.039 17.9488 18.039 22-Dec-2017
10.875 10.8206 10.875 22-Dec-2017
17.5786 17.4907 17.5786 22-Dec-2017
133.98 132.64 133.98 22-Dec-2017
107.24 106.17 107.24 22-Dec-2017
761.81 754.19 761.81 22-Dec-2017
728.79 721.5 728.79 22-Dec-2017
12.41 12.29 12.41 22-Dec-2017
13.69 13.55 13.69 22-Dec-2017
11.76 11.64 11.76 22-Dec-2017
13.23 13.1 13.23 22-Dec-2017
51.82 51.3 51.82 22-Dec-2017
232.28 229.96 232.28 22-Dec-2017
27.91 27.63 27.91 22-Dec-2017
221.82 219.6 221.82 22-Dec-2017
13.6478 13.6478 13.6478 22-Dec-2017
13.4729 13.4729 13.4729 22-Dec-2017
103.0343 103.0343 103.0343 22-Dec-2017
102.801 102.801 102.801 22-Dec-2017
30.24 29.94 30.24 22-Dec-2017
84.93 84.08 84.93 22-Dec-2017
26.58 26.31 26.58 22-Dec-2017
80.94 80.13 80.94 22-Dec-2017
43.94 43.5 43.94 22-Dec-2017
31.89 31.57 31.89 22-Dec-2017
158.53 156.94 158.53 22-Dec-2017
153.58 152.04 153.58 22-Dec-2017
21.9 21.68 21.9 22-Dec-2017
21.89 21.67 21.89 22-Dec-2017
16.64 16.47 16.64 22-Dec-2017
21.16 20.95 21.16 22-Dec-2017
28.17 27.89 28.17 22-Dec-2017
41.06 40.65 41.06 22-Dec-2017
19.58 19.38 19.58 22-Dec-2017
39.61 39.21 39.61 22-Dec-2017
10.97 10.86 10.97 11-Feb-2011
11.43 11.32 11.43 11-Feb-2011
18.6829 18.4961 18.6829 22-Dec-2017
14.7589 14.6113 14.7589 22-Dec-2017
18.6684 18.4817 18.6684 22-Dec-2017
18.1906 18.0087 18.1906 22-Dec-2017
19.1868 18.9949 19.1868 22-Dec-2017
16.8535 16.685 16.8535 22-Dec-2017
19.1969 19.0049 19.1969 22-Dec-2017
18.6984 18.5114 18.6984 22-Dec-2017
23.45 23.22 23.45 5-Feb-2016
25.37 25.12 25.37 5-Feb-2016
24.78 24.53 24.78 5-Feb-2016
18.46 18.28 18.46 5-Feb-2016
14.41 14.27 14.41 22-Dec-2017
15.62 15.46 15.62 22-Dec-2017
13.97 13.83 13.97 22-Dec-2017
15.17 15.02 15.17 22-Dec-2017
59.25 58.66 59.25 22-Dec-2017
350.32 346.82 350.32 22-Dec-2017
39.26 38.87 39.26 22-Dec-2017
336.34 332.98 336.34 22-Dec-2017
12.51 12.38 12.51 11-Feb-2011
12.51 12.38 12.51 11-Feb-2011
275.79 273.03 275.79 22-Dec-2017
174.86 173.11 174.86 22-Dec-2017
813.2 805.07 813.2 22-Dec-2017
776.8 769.03 776.8 22-Dec-2017
19.01 18.82 19.01 22-Dec-2017
42.61 42.18 42.61 22-Dec-2017
22.63 22.4 22.63 22-Dec-2017
44.14 43.7 44.14 22-Dec-2017
54.9362 54.3868 54.9362 22-Dec-2017
35.8085 35.4504 35.8085 22-Dec-2017
69.673 68.9763 69.673 22-Dec-2017
66.717 66.0498 66.717 22-Dec-2017
28.3056 28.0225 28.3056 22-Dec-2017
44.4705 44.0258 44.4705 22-Dec-2017
45.0351 44.5847 45.0351 22-Dec-2017
46.4899 46.025 46.4899 22-Dec-2017
18.1068 17.9257 18.1068 22-Dec-2017
24.1859 23.944 24.1859 22-Dec-2017
26.1924 25.9305 26.1924 22-Dec-2017
27.0135 26.7434 27.0135 22-Dec-2017
35.1685 34.8168 35.1685 22-Dec-2017
61.7389 61.1215 61.7389 22-Dec-2017
18.328 18.1447 18.328 22-Dec-2017
58.8906 58.3017 58.8906 22-Dec-2017
10.47 10.37 10.47 22-Dec-2017
10.47 10.37 10.47 22-Dec-2017
10.39 10.29 10.39 22-Dec-2017
10.39 10.29 10.39 22-Dec-2017
10.8694 10.8422 10.8694 22-Dec-2017
12.7742 12.7423 12.7742 22-Dec-2017
10.4558 10.4297 10.4558 22-Dec-2017
12.4204 12.3893 12.4204 22-Dec-2017
17.93 17.75 17.93 22-Dec-2017
26.76 26.49 26.76 22-Dec-2017
16.9 16.73 16.9 22-Dec-2017
25.32 25.07 25.32 22-Dec-2017
12.14 12.02 12.14 22-Dec-2017
11.13 11.02 11.13 22-Dec-2017
11.29 11.18 11.29 22-Dec-2017
11.28 11.17 11.28 22-Dec-2017
11.8 11.68 11.8 22-Dec-2017
10.85 10.74 10.85 22-Dec-2017
11 10.89 11 22-Dec-2017
11.46 11.35 11.46 22-Dec-2017
27.59 27.31 27.59 22-Dec-2017
27.94 27.66 27.94 22-Dec-2017
20.44 20.24 20.44 22-Dec-2017
26.32 26.06 26.32 22-Dec-2017
28.76 28.47 28.76 22-Dec-2017
36.28 35.92 36.28 22-Dec-2017
24.21 23.97 24.21 22-Dec-2017
34.18 33.84 34.18 22-Dec-2017
10.17 10.07 10.17 22-Dec-2017
10.17 10.07 10.17 22-Dec-2017
10.16 10.06 10.16 22-Dec-2017
10.16 10.06 10.16 22-Dec-2017

21.01 20.8 21.01 22-Dec-2017


17.86 17.68 17.86 22-Dec-2017
21.01 20.8 21.01 22-Dec-2017
14.75 14.6 14.75 1-Sep-2015
18.65 18.46 18.65 22-Dec-2017
21.86 21.64 21.86 22-Dec-2017
40 39.6 40 22-Dec-2017
104.65 103.6 104.65 22-Dec-2017
39.66 39.26 39.66 22-Dec-2017
109.34 108.25 109.34 22-Dec-2017
13.03 12.9 13.03 22-Dec-2017
14.15 14.01 14.15 22-Dec-2017
13.51 13.37 13.51 22-Dec-2017
14.64 14.49 14.64 22-Dec-2017
10.24 10.14 10.24 22-Dec-2017
10.24 10.14 10.24 22-Dec-2017
10.64 10.53 10.64 22-Dec-2017
10.64 10.53 10.64 22-Dec-2017

18.37 18.37 18.37 22-Dec-2017


86.47 86.47 86.47 22-Dec-2017
19.47 19.47 19.47 22-Dec-2017
91.03 91.03 91.03 22-Dec-2017
20.336 20.336 20.336 22-Dec-2017
53.911 53.911 53.911 22-Dec-2017
18.69 18.69 18.69 22-Dec-2017
50.226 50.226 50.226 22-Dec-2017
10.427 10.427 10.427 22-Dec-2017
10.088 10.088 10.088 22-Dec-2017
10.228 10.228 10.228 22-Dec-2017
10.071 10.071 10.071 22-Dec-2017
10.191 10.191 10.191 22-Dec-2017
10.662 10.662 10.662 22-Dec-2017
10.722 10.722 10.722 22-Dec-2017
10.514 10.514 10.514 22-Dec-2017
10.411 10.411 10.411 22-Dec-2017
10.413 10.413 10.413 22-Dec-2017
10.377 10.377 10.377 22-Dec-2017
10.378 10.378 10.378 22-Dec-2017
39.149 39.149 39.149 22-Dec-2017
40.139 40.139 40.139 22-Dec-2017
35.544 35.544 35.544 22-Dec-2017
37.791 37.791 37.791 22-Dec-2017

14.6 14.45 14.6 22-Dec-2017


20.94 20.73 20.94 22-Dec-2017
40.47 40.07 40.47 22-Dec-2017
17.25 17.08 17.25 22-Dec-2017
40.13 39.73 0 22-Dec-2017
40.13 39.73 0 22-Dec-2017
14.39 14.25 0 22-Dec-2017
17.06 16.89 0 22-Dec-2017
38.32 37.94 38.32 22-Dec-2017
14.96 14.81 14.96 22-Dec-2017
15 14.85 15 22-Dec-2017
38.31 37.93 38.31 22-Dec-2017
19.86 19.66 19.86 22-Dec-2017
19.57 19.37 19.57 22-Dec-2017
18.88 18.69 18.88 22-Dec-2017
18.75 18.56 18.75 22-Dec-2017
16.29 16.13 16.29 22-Dec-2017
17.38 17.21 17.38 22-Dec-2017
13.65 13.51 13.65 22-Dec-2017
14.7 14.55 14.7 22-Dec-2017
13.61 13.47 13.61 22-Dec-2017
14.52 14.37 14.52 22-Dec-2017

97.91 97.91 97.91 22-Dec-2017


66.15 66.15 66.15 22-Dec-2017
102.83 102.83 102.83 22-Dec-2017
48.95 48.95 48.95 22-Dec-2017
36.38 36.38 36.38 22-Dec-2017
124.95 124.95 124.95 22-Dec-2017
128.53 128.53 128.53 22-Dec-2017
50.45 50.45 50.45 22-Dec-2017
35.75 35.75 35.75 22-Dec-2017
38.51 38.51 38.51 22-Dec-2017
24.57 24.57 24.57 20-May-2016
25.61 25.61 25.61 22-Dec-2017
36.93 36.93 36.93 22-Dec-2017
31.08 31.08 31.08 22-Dec-2017
54.03 54.03 54.03 22-Dec-2017
40.24 40.24 40.24 22-Dec-2017
55.97 55.97 55.97 22-Dec-2017
23.55 23.55 23.55 22-Dec-2017
23.73 23.73 23.73 22-Dec-2017
16.38 16.38 16.38 22-Dec-2017
22.69 22.69 22.69 22-Dec-2017

11.5825 11.5246 11.5825 22-Dec-2017


12.6849 12.6215 12.6849 22-Dec-2017
10.6663 10.613 10.6663 22-Dec-2017
11.0059 10.9509 11.0059 22-Dec-2017
12.1101 12.0495 12.1101 22-Dec-2017
11.365 11.3082 11.365 22-Dec-2017
12.4542 12.3919 12.4542 22-Dec-2017
10.5224 10.4698 10.5224 22-Dec-2017
10.8579 10.8036 10.8579 22-Dec-2017
11.7873 11.7284 11.7873 22-Dec-2017
16.6 16.43 16.6 25-Jul-2016
24.64 24.39 24.64 22-Dec-2017
71.37 70.66 71.37 22-Dec-2017
15.47 15.32 15.47 22-Dec-2017
67.35 66.68 67.35 22-Dec-2017
20.84 20.63 20.84 22-Dec-2017
30.47 30.17 30.47 22-Dec-2017
24.45 24.21 24.45 22-Dec-2017
17.09 16.92 17.09 22-Dec-2017
24.02 23.78 24.02 22-Dec-2017
17.12 16.95 17.12 22-Dec-2017
13.66 13.52 13.66 22-Dec-2017
13.97 13.83 13.97 22-Dec-2017
13.35 13.22 13.35 22-Dec-2017
13.62 13.48 13.62 22-Dec-2017
15.8939 15.735 15.8939 22-Dec-2017
15.9385 15.7791 15.9385 22-Dec-2017
31.3292 31.0159 31.3292 22-Dec-2017
12.2476 12.1251 12.2476 22-Dec-2017
12.3624 12.2388 12.3624 22-Dec-2017
29.7856 29.4877 29.7856 22-Dec-2017
11.8201 11.7019 11.8201 22-Dec-2017
11.7445 11.6271 11.7445 22-Dec-2017
21.8 21.58 21.8 22-Dec-2017
22.89 22.66 22.89 22-Dec-2017
22.87 22.64 22.87 22-Dec-2017
171.87 170.15 171.87 22-Dec-2017
19.64 19.44 19.64 22-Dec-2017
161.88 160.26 161.88 22-Dec-2017
33.83 33.49 33.83 22-Dec-2017
14.57 14.42 14.57 22-Dec-2017
18.61 18.42 18.61 22-Dec-2017
21.37 21.16 21.37 22-Dec-2017
16.09 15.93 16.09 22-Dec-2017
20.77 20.56 20.77 22-Dec-2017

10.1273 10.1273 10.1273 22-Dec-2017


10.1273 10.1273 10.1273 22-Dec-2017
10.1188 10.1188 10.1188 22-Dec-2017
10.1188 10.1188 10.1188 22-Dec-2017
83.879 83.04 83.879 22-Dec-2017
40.644 40.238 40.644 22-Dec-2017
67.026 66.356 67.026 22-Dec-2017
39.391 38.997 39.391 22-Dec-2017
12.073 11.952 12.073 22-Dec-2017
12.692 12.565 12.692 22-Dec-2017
11.928 11.809 11.928 22-Dec-2017
12.349 12.226 12.349 22-Dec-2017
11.481 11.366 11.481 22-Dec-2017
11.738 11.621 11.738 22-Dec-2017
12.414 12.29 12.414 22-Dec-2017
11.367 11.253 11.367 22-Dec-2017
23.821 23.583 23.821 22-Dec-2017
23.821 23.583 23.821 22-Dec-2017
15.696 15.539 15.696 22-Dec-2017
23.05 22.82 23.05 22-Dec-2017
38.477 38.092 38.477 22-Dec-2017
106.926 105.857 106.926 22-Dec-2017
104.15 103.109 104.15 22-Dec-2017
22.222 22 22.222 22-Dec-2017
44.106 43.665 44.106 22-Dec-2017
72.644 71.918 72.644 22-Dec-2017
42.735 42.308 42.735 22-Dec-2017
70.381 69.677 70.381 22-Dec-2017
22.954 22.724 22.954 22-Dec-2017
38.043 37.663 38.043 22-Dec-2017
36.956 36.586 36.956 22-Dec-2017
22.353 22.129 22.353 22-Dec-2017
57.365 56.791 57.365 22-Dec-2017
239.993 237.593 239.993 22-Dec-2017
32.946 32.617 32.946 22-Dec-2017
231.278 228.965 231.278 22-Dec-2017
46.784 46.316 46.784 22-Dec-2017
60.048 59.448 60.048 22-Dec-2017
27.207 26.935 27.207 22-Dec-2017
57.959 57.379 57.959 22-Dec-2017
26.151 25.889 26.151 22-Dec-2017
208.686 206.599 208.686 22-Dec-2017
24.049 23.809 24.049 22-Dec-2017
202.396 200.372 202.396 22-Dec-2017

12.6457 12.6141 12.6457 22-Dec-2017


12.4155 12.3845 12.4155 22-Dec-2017
10.7002 10.6734 10.7002 22-Dec-2017
12.9513 12.9189 12.9513 22-Dec-2017
12.7211 12.6893 12.7211 22-Dec-2017
10.5465 10.5201 10.5465 22-Dec-2017
12.7205 12.6887 12.7205 22-Dec-2017
22.14 21.92 22.14 22-Dec-2017
15.64 15.48 15.64 22-Dec-2017
22.36 22.14 22.36 22-Dec-2017
21.47 21.26 21.47 22-Dec-2017
13.66 13.52 13.66 22-Dec-2017
23.04 22.81 23.04 22-Dec-2017
14.73 14.583 14.73 22-Dec-2017
14.877 14.728 14.877 22-Dec-2017
14.56 14.414 14.56 22-Dec-2017
14.558 14.412 14.558 22-Dec-2017
18.462 18.277 18.462 22-Dec-2017
32.231 31.909 32.231 22-Dec-2017
17.58 17.404 17.58 22-Dec-2017
30.703 30.396 30.703 22-Dec-2017
13.2164 13.0842 13.2164 22-Dec-2017
11.9443 11.8249 11.9443 22-Dec-2017
13.217 13.0848 13.217 22-Dec-2017
13.0562 13.0562 13.0562 22-Dec-2017
13.0269 12.8966 13.0269 22-Dec-2017
11.2183 11.1061 11.2183 22-Dec-2017
13.0269 12.8966 13.0269 22-Dec-2017
12.8662 12.8662 12.8662 22-Dec-2017
23.97 23.73 23.97 22-Dec-2017
34.09 33.75 34.09 22-Dec-2017
33.05 32.72 33.05 22-Dec-2017
21.32 21.11 21.32 22-Dec-2017
33.62 33.28 33.62 22-Dec-2017
33.22 32.89 33.22 22-Dec-2017
26.8 26.53 26.8 22-Dec-2017
32.78 32.45 32.78 22-Dec-2017
28.166 27.884 28.166 22-Dec-2017
31.476 31.161 31.476 22-Dec-2017
25.637 25.381 25.637 22-Dec-2017
30.12 29.819 30.12 22-Dec-2017
24.43 24.43 24.43 22-Dec-2017
24.11 24.11 24.11 22-Dec-2017
19.05 19.05 19.05 22-Dec-2017
19.54 19.54 19.54 22-Dec-2017
24.91 24.91 24.91 22-Dec-2017
24.58 24.58 24.58 22-Dec-2017

22.2708 22.0481 22.2708 22-Dec-2017


22.483 22.2582 22.483 22-Dec-2017
181.4499 179.6354 181.4499 22-Dec-2017
182.2889 180.466 182.2889 22-Dec-2017
39.7482 39.3507 39.7482 22-Dec-2017
39.7482 39.3507 39.7482 22-Dec-2017
25.6975 25.4405 25.6975 22-Dec-2017
20.3149 20.1118 20.3149 22-Dec-2017
39.7606 39.363 39.7606 22-Dec-2017
40.1108 39.7097 40.1108 22-Dec-2017
9.5843 9.4885 9.5843 22-Dec-2017
9.6559 9.5593 9.6559 22-Dec-2017
9.6167 9.5205 9.6167 22-Dec-2017
9.6615 9.5649 9.6615 22-Dec-2017
26.9945 26.7246 26.9945 22-Dec-2017
21.5477 21.3322 21.5477 22-Dec-2017
33.6367 33.3003 33.6367 22-Dec-2017
33.2777 32.9449 33.2777 22-Dec-2017
20.0707 19.87 20.0707 22-Dec-2017
20.0718 19.8711 20.0718 22-Dec-2017
56.7049 56.1379 56.7049 22-Dec-2017
57.0013 56.4313 57.0013 22-Dec-2017
20.3126 20.1095 20.3126 22-Dec-2017
19.9582 19.7586 19.9582 22-Dec-2017
28.3578 28.0742 28.3578 22-Dec-2017
29.2381 28.9457 29.2381 22-Dec-2017
23.0953 23.0953 23.0953 22-Dec-2017
14.5501 14.5501 14.5501 22-Dec-2017
16.7535 16.7535 16.7535 22-Dec-2017
16.2814 16.2814 16.2814 22-Dec-2017
21.8117 21.8117 21.8117 22-Dec-2017
14.8612 14.8612 14.8612 22-Dec-2017
16.461 16.461 16.461 22-Dec-2017
19.6811 19.6811 19.6811 22-Dec-2017
15.1694 15.1694 15.1694 22-Dec-2017
24.5998 24.5998 24.5998 22-Dec-2017
16.3483 16.3483 16.3483 22-Dec-2017
16.1564 16.1564 16.1564 22-Dec-2017
15.7662 15.7662 15.7662 22-Dec-2017
15.7625 15.7625 15.7625 22-Dec-2017

14.5987 14.4527 14.5987 22-Dec-2017


22.8291 22.6008 22.8291 22-Dec-2017
14.1003 13.9593 14.1003 22-Dec-2017
22.0938 21.8729 22.0938 22-Dec-2017
29.2352 28.9428 29.2352 22-Dec-2017
46.5793 46.1135 46.5793 22-Dec-2017
27.3497 27.0762 27.3497 22-Dec-2017
43.9995 43.5595 43.9995 22-Dec-2017
481.985 477.1652 481.985 22-Dec-2017
47.3829 46.9091 47.3829 22-Dec-2017
45.0348 44.5845 45.0348 22-Dec-2017
462.3432 457.7198 462.3432 22-Dec-2017
20.1015 19.9005 20.1015 22-Dec-2017
84.8254 83.9771 84.8254 22-Dec-2017
19.2475 19.055 19.2475 22-Dec-2017
81.8477 81.0292 81.8477 22-Dec-2017
28.5825 28.2967 28.5825 22-Dec-2017
43.8682 43.4295 43.8682 22-Dec-2017
26.8085 26.5404 26.8085 22-Dec-2017
41.6074 41.1913 41.6074 22-Dec-2017
84.5209 83.6757 84.5209 22-Dec-2017
84.5209 83.6757 84.5209 22-Dec-2017
82.9955 82.1655 82.9955 22-Dec-2017
82.9955 82.1655 82.9955 22-Dec-2017
22.3115 22.0884 22.3115 22-Dec-2017
21.4861 21.2712 21.4861 22-Dec-2017
79.2702 78.4775 79.2702 22-Dec-2017
76.8165 76.0483 76.8165 22-Dec-2017
75.3238 74.5706 75.3238 22-Dec-2017
1060.9031 1050.2941 1060.9031 22-Dec-2017
70.5678 69.8621 70.5678 22-Dec-2017
1007.2283 997.156 1007.2283 22-Dec-2017
45.1009 44.6499 45.1009 22-Dec-2017
622.8132 616.5851 622.8132 22-Dec-2017
42.7518 42.3243 42.7518 22-Dec-2017
594.4257 588.4814 594.4257 22-Dec-2017
36.2509 35.8884 36.2509 22-Dec-2017
66.6286 65.9623 66.6286 22-Dec-2017
33.9876 33.6477 33.9876 22-Dec-2017
63.0739 62.4432 63.0739 22-Dec-2017
23.3949 23.161 23.3949 22-Dec-2017
134.7081 133.361 134.7081 22-Dec-2017
22.6893 22.4624 22.6893 22-Dec-2017
130.9929 129.683 130.9929 22-Dec-2017
18.3659 18.1822 18.3659 22-Dec-2017
49.3915 48.8976 49.3915 22-Dec-2017
17.7209 17.5437 17.7209 22-Dec-2017
47.9328 47.4535 47.9328 22-Dec-2017
287.6283 284.752 287.6283 22-Dec-2017
77.2121 76.44 77.2121 22-Dec-2017
74.0774 73.3366 74.0774 22-Dec-2017
278.1594 275.3778 278.1594 22-Dec-2017

20.525 20.474 20.525 22-Dec-2017


14.896 14.859 14.896 22-Dec-2017
20.058 20.008 20.058 22-Dec-2017
14.255 14.219 14.255 22-Dec-2017
10.803 10.776 10.803 22-Dec-2017
20.465 20.414 20.465 22-Dec-2017
12.947 12.915 12.947 22-Dec-2017
10.926 10.899 10.926 22-Dec-2017
10.544 10.518 10.544 22-Dec-2017
10.522 10.496 10.522 22-Dec-2017
15.552 15.513 15.552 22-Dec-2017
32.855 32.526 32.855 22-Dec-2017
301.289 298.276 301.289 22-Dec-2017
34.464 34.119 34.464 22-Dec-2017
312.849 309.721 312.849 22-Dec-2017
24.992 24.742 24.992 22-Dec-2017
91.505 90.59 91.505 22-Dec-2017
23.502 23.267 23.502 22-Dec-2017
87.828 86.95 87.828 22-Dec-2017
61.342 60.729 61.342 22-Dec-2017
653.339 646.806 653.339 22-Dec-2017
64.337 63.694 64.337 22-Dec-2017
679.149 672.358 679.149 22-Dec-2017
12.089 11.968 12.089 22-Dec-2017
12.664 12.537 12.664 22-Dec-2017
36.531 36.166 36.531 22-Dec-2017
35.107 34.756 35.107 22-Dec-2017
35.25 34.898 35.25 22-Dec-2017
189.991 188.091 189.991 22-Dec-2017
36.433 36.069 36.433 22-Dec-2017
195.187 193.235 195.187 22-Dec-2017
94.7727 94.5358 94.7727 22-Dec-2017
93.9876 93.7526 93.9876 22-Dec-2017
472.493 471.3118 472.493 22-Dec-2017
465.699 464.5348 465.699 22-Dec-2017
300.6356 299.884 300.6356 22-Dec-2017
297.6154 296.8714 297.6154 22-Dec-2017
21.572 21.356 21.572 22-Dec-2017
23.536 23.301 23.536 22-Dec-2017
17.026 16.856 17.026 22-Dec-2017
22.603 22.377 22.603 22-Dec-2017
26.994 26.724 26.994 22-Dec-2017
114.941 113.792 114.941 22-Dec-2017
23.915 23.676 23.915 22-Dec-2017
113.927 112.788 113.927 22-Dec-2017
43.112 42.681 43.112 22-Dec-2017
62.172 61.55 62.172 22-Dec-2017
36.614 36.248 36.614 22-Dec-2017
59.72 59.123 59.72 22-Dec-2017
16.149 15.988 16.149 22-Dec-2017
58.501 57.916 58.501 22-Dec-2017
16.747 16.58 16.747 22-Dec-2017
60.228 59.626 60.228 22-Dec-2017
17.853 17.674 17.853 22-Dec-2017
17.33 17.157 17.33 22-Dec-2017
32.012 31.692 32.012 22-Dec-2017
48.356 47.872 48.356 22-Dec-2017
30.06 29.759 30.06 22-Dec-2017
46.028 45.568 46.028 22-Dec-2017
57.676 57.099 57.676 22-Dec-2017
463.504 458.869 463.504 22-Dec-2017
59.967 59.367 59.967 22-Dec-2017
478.636 473.85 478.636 22-Dec-2017

20.3103 20.3103 20.3103 30-Jun-2017


20.3103 20.3103 20.3103 30-Jun-2017
20.9669 20.9669 20.9669 30-Jun-2017
20.9669 20.9669 20.9669 30-Jun-2017
17.657 17.657 17.657 22-Dec-2017
17.657 17.657 17.657 22-Dec-2017
18.2936 18.2936 18.2936 22-Dec-2017
18.2936 18.2936 18.2936 22-Dec-2017
33.222 33.222 33.222 22-Dec-2017
34.7386 34.7386 34.7386 22-Dec-2017
201.8248 201.8248 201.8248 22-Dec-2017
209.3672 209.3672 209.3672 22-Dec-2017
28.9799 28.9799 28.9799 22-Dec-2017
31.9276 31.9276 31.9276 22-Dec-2017
91.0048 91.0048 91.0048 22-Dec-2017
94.4199 94.4199 94.4199 22-Dec-2017
22.8059 22.8059 22.8059 22-Dec-2017
25.8774 25.8774 25.8774 22-Dec-2017
26.8245 26.8245 26.8245 22-Dec-2017
22.0112 22.0112 22.0112 22-Dec-2017
27.6819 27.6819 27.6819 22-Dec-2017
33.2316 33.2316 33.2316 22-Dec-2017
64.3691 64.3691 64.3691 22-Dec-2017
66.8102 66.8102 66.8102 22-Dec-2017

19.87 19.67 19.87 22-Dec-2017


35.52 35.16 35.52 22-Dec-2017
16.01 15.85 16.01 22-Dec-2017
13.45 13.32 13.45 22-Dec-2017
16.09 15.93 16.09 22-Dec-2017
33.55 33.21 33.55 22-Dec-2017
14.9 14.75 14.9 22-Dec-2017
12.79 12.66 12.79 22-Dec-2017
40.72 40.31 40.72 22-Dec-2017
61.4 60.79 61.4 22-Dec-2017
57.66 57.08 57.66 22-Dec-2017
64.59 63.94 64.59 22-Dec-2017
13.5898 13.5219 13.5898 22-Apr-2016
10.9152 10.8606 10.9152 12-Oct-2015
22.7587 22.6449 22.7587 22-Apr-2016
13.6408 13.5726 13.6408 22-Apr-2016
23.0933 22.9778 23.0933 22-Apr-2016
135.93 131.85 135.93 22-Dec-2017
141.16 136.93 141.16 22-Dec-2017
15.55 15.39 15.55 22-Dec-2017
19.03 18.84 19.03 22-Dec-2017
15.12 14.97 15.12 22-Dec-2017
18.57 18.38 18.57 22-Dec-2017
28.4801 28.1953 28.4801 22-Dec-2017
273.2847 270.5519 273.2847 22-Dec-2017
24.2678 24.0251 24.2678 22-Dec-2017
262.6805 260.0537 262.6805 22-Dec-2017
25.7745 25.5168 25.7745 22-Dec-2017
43.8469 43.4084 43.8469 22-Dec-2017
22.8513 22.7942 22.8513 22-Dec-2017
11.808 11.749 11.808 17-Jan-2017
14.8185 14.7815 14.8185 22-Dec-2017
23.2546 23.1965 23.2546 22-Dec-2017
12.6523 12.6207 12.6523 22-Dec-2017
13.7556 13.7212 13.7556 22-Dec-2017
22.6324 22.5758 22.6324 22-Dec-2017
12.85 12.72 12.85 22-Dec-2017
13.21 13.08 13.21 22-Dec-2017
12.61 12.48 12.61 22-Dec-2017
12.5 12.38 12.5 22-Dec-2017
12.18 12.06 12.18 22-Dec-2017
12.07 11.95 12.07 22-Dec-2017
11.36 11.25 11.36 22-Dec-2017
11.59 11.47 11.59 22-Dec-2017
40.32 39.92 40.32 22-Dec-2017
61.69 61.07 61.69 22-Dec-2017
27.83 27.55 27.83 22-Dec-2017
59.49 58.9 59.49 22-Dec-2017
107.59 106.51 107.59 22-Dec-2017
228.17 225.89 228.17 22-Dec-2017
79.44 78.65 79.44 22-Dec-2017
220.8 218.59 220.8 22-Dec-2017
35.94 35.58 35.94 22-Dec-2017
42.66 42.23 42.66 22-Dec-2017
25.7 25.44 25.7 22-Dec-2017
40.85 40.44 40.85 22-Dec-2017
44.47 44.03 44.47 22-Dec-2017
21.35 21.14 21.35 22-Dec-2017
30.38 30.08 30.38 22-Dec-2017
31.17 30.86 31.17 22-Dec-2017
31.18 30.87 31.18 22-Dec-2017
30.37 30.07 30.37 22-Dec-2017
20.11 19.91 20.11 22-Dec-2017
58.81 58.22 58.81 22-Dec-2017
15.45 15.3 15.45 22-Dec-2017
56.89 56.32 56.89 22-Dec-2017
34.3 33.96 34.3 22-Dec-2017
110.68 109.57 110.68 22-Dec-2017
28.06 27.78 28.06 22-Dec-2017
106.05 104.99 106.05 22-Dec-2017
32.02 31.7 32.02 22-Dec-2017
292.67 289.74 292.67 22-Dec-2017
24.21 23.97 24.21 22-Dec-2017
280.82 278.01 280.82 22-Dec-2017
100.7986 100.7986 100.7986 22-Dec-2017
102.7883 102.7883 102.7883 22-Dec-2017
13.8213 13.8213 13.8213 22-Dec-2017
13.4218 13.4218 13.4218 22-Dec-2017
27.7564 27.687 27.7564 22-Dec-2017
27.7657 27.6963 27.7657 22-Dec-2017
27.1496 27.0817 27.1496 22-Dec-2017
27.1496 27.0817 27.1496 22-Dec-2017
27.59 27.31 27.59 22-Dec-2017
31.13 30.82 31.13 22-Dec-2017
18.55 18.36 18.55 22-Dec-2017
29.63 29.33 29.63 22-Dec-2017
10.4928 N.A. N.A. 22-Dec-2017
10.4985 N.A. N.A. 22-Dec-2017
10.4985 N.A. N.A. 22-Dec-2017
10.4928 N.A. N.A. 22-Dec-2017
45.52 45.06 45.52 22-Dec-2017
48.71 48.22 48.71 22-Dec-2017
31.57 31.25 31.57 22-Dec-2017
46.92 46.45 46.92 22-Dec-2017
26.55 26.28 26.55 22-Dec-2017
349.98 346.48 349.98 22-Dec-2017
20.34 20.14 20.34 22-Dec-2017
334.55 331.2 334.55 22-Dec-2017
23.78 23.07 23.78 22-Dec-2017
23.78 23.07 23.78 22-Dec-2017
22.84 22.15 22.84 22-Dec-2017
22.84 22.15 22.84 22-Dec-2017
55.93 55.37 55.93 22-Dec-2017
153.69 152.15 153.69 22-Dec-2017
34.63 34.28 34.63 22-Dec-2017
146.35 144.89 146.35 22-Dec-2017

18.61 18.42 18.61 22-Dec-2017


17.83 17.65 17.83 22-Dec-2017
22.5 22.28 22.5 22-Dec-2017
21.66 21.44 21.66 22-Dec-2017
10.12 10.02 10.12 22-Dec-2017
10.15 10.05 10.15 22-Dec-2017
10.12 10.02 10.12 22-Dec-2017
10.15 10.05 10.15 22-Dec-2017
19.17 18.98 19.17 22-Dec-2017
20.11 19.91 20.11 22-Dec-2017
24.42 24.18 24.42 22-Dec-2017
25.48 25.23 25.48 22-Dec-2017
12.63 12.5 12.63 22-Dec-2017
12.35 12.23 12.35 22-Dec-2017
12.63 12.5 12.63 22-Dec-2017
12.35 12.23 12.35 22-Dec-2017
18.4845 18.4845 18.4845 22-Dec-2017
19.2228 19.2228 19.2228 22-Dec-2017
19.3838 19.3838 19.3838 22-Dec-2017
20.1561 20.1561 20.1561 22-Dec-2017
23.2839 23.2839 23.2839 22-Dec-2017
24.3191 24.3191 24.3191 22-Dec-2017
23.2839 23.2839 23.2839 22-Dec-2017
24.3191 24.3191 24.3191 22-Dec-2017
11.1 10.99 11.1 22-Dec-2017
11.25 11.14 11.25 22-Dec-2017
11.25 11.14 11.25 22-Dec-2017
11.1 10.99 11.1 22-Dec-2017

22.1186 22.1186 22.1186 22-Dec-2017


13.053 13.053 13.053 22-Dec-2017
21.5562 21.5562 21.5562 22-Dec-2017
12.6839 12.6839 12.6839 22-Dec-2017
14.86269632 14.86269632 14.86269632 17-Feb-2017
21.25167644 21.25167644 21.25167644 17-Feb-2017
11.9131 11.9131 11.9131 22-Dec-2017
10.8512 10.8512 10.8512 22-Dec-2017
12.36084532 12.36084532 12.36084532 17-Feb-2017
16.0114 16.0114 16.0114 8-Jan-2015
10.9822 10.9822 10.9822 22-Dec-2017
11.3157 11.3157 11.3157 22-Dec-2017
19.4546 19.4546 19.4546 22-Dec-2017
12.352 12.352 12.352 22-Dec-2017
18.932 18.932 18.932 22-Dec-2017
12.06 12.06 12.06 22-Dec-2017
19.1279 19.1279 19.1279 22-Dec-2017
49.2563 49.2563 49.2563 22-Dec-2017
17.1661 17.1661 17.1661 22-Dec-2017
46.3463 46.3463 46.3463 22-Dec-2017
14.49790104 14.49790104 14.49790104 17-Feb-2017
29.49102237 29.49102237 29.49102237 17-Feb-2017
11.65 11.65 11.65 22-Dec-2017
13.326 13.326 13.326 22-Dec-2017
11.2055 11.2055 11.2055 22-Dec-2017
12.8021 12.8021 12.8021 22-Dec-2017
19.2989 19.2989 19.2989 22-Dec-2017
33.8265 33.8265 33.8265 22-Dec-2017
15.9811 15.9811 15.9811 22-Dec-2017
32.0476 32.0476 32.0476 22-Dec-2017
13.7189908 13.7189908 13.7189908 17-Feb-2017
21.45998959 21.45998959 21.45998959 17-Feb-2017
20.2527 20.2527 20.2527 22-Dec-2017
43.1084 43.1084 43.1084 22-Dec-2017
14.4062 14.4062 14.4062 22-Dec-2017
40.6068 40.6068 40.6068 22-Dec-2017
12.36902351 12.36902351 12.36902351 17-Feb-2017
25.02172287 25.02172287 25.02172287 17-Feb-2017
20.9549 20.9549 20.9549 22-Dec-2017
20.9692 20.9692 20.9692 22-Dec-2017
19.6643 19.6643 19.6643 22-Dec-2017
19.6559 19.6559 19.6559 22-Dec-2017
21.6046 21.6046 21.6046 22-Dec-2017
21.422 21.422 21.422 22-Dec-2017
21.5063 21.5063 21.5063 22-Dec-2017
21.3386 21.3386 21.3386 22-Dec-2017
39.3916 39.3916 39.3916 22-Dec-2017
100.4913 100.4913 100.4913 22-Dec-2017
38.1291 38.1291 38.1291 22-Dec-2017
96.9847 96.9847 96.9847 22-Dec-2017
26.12841142 26.12841142 26.12841142 17-Feb-2017
57.52899532 57.52899532 57.52899532 17-Feb-2017
24.265 24.265 24.265 22-Dec-2017
58.2806 58.2806 58.2806 22-Dec-2017
25.4728 25.4728 25.4728 22-Dec-2017
60.8096 60.8096 60.8096 22-Dec-2017

15.6709 15.3575 15.6709 22-Dec-2017


13.5629 13.2916 13.5629 22-Dec-2017
15.3307 15.0241 15.3307 22-Dec-2017
15.875 15.5575 15.875 22-Dec-2017

12.4954 12.4642 12.4954 22-Dec-2017


10.5181 10.4918 10.5181 22-Dec-2017
10.6126 10.5861 10.6126 22-Dec-2017
12.2608 12.2301 12.2608 22-Dec-2017
10.4676 10.4414 10.4676 21-Dec-2017
10.5723 10.5459 10.5723 22-Dec-2017
10.4686 10.4424 10.4686 21-Dec-2017
10.4683 10.4421 10.4683 21-Dec-2017
12.71 12.58 12.71 22-Dec-2017
21.89 21.67 21.89 22-Dec-2017
12.32 12.2 12.32 22-Dec-2017
11.19 11.08 11.19 18-Aug-2017
12.31 12.19 12.31 22-Dec-2017
15.57 15.41 15.57 22-Dec-2017
20.3 20.1 20.3 22-Dec-2017
12.17 12.05 12.17 22-Dec-2017
12.25 12.13 12.25 22-Dec-2017
12.13 12.01 12.13 22-Dec-2017
14.8853 14.7364 14.8853 22-Dec-2017
14.9199 14.7707 14.9199 22-Dec-2017
12.0304 11.9101 12.0304 22-Dec-2017
11.0159 10.9057 11.0159 22-Dec-2017
12.027 11.9067 12.027 22-Dec-2017
14.1423 14.0009 14.1423 22-Dec-2017
14.1449 14.0035 14.1449 22-Dec-2017
11.5818 11.466 11.5818 22-Dec-2017
10.9742 10.8645 10.9742 22-Dec-2017

20.9634 20.8586 20.9634 22-Dec-2017


13.9756 13.9057 13.9756 22-Dec-2017
21.5823 21.4744 21.5823 22-Dec-2017
14.3882 14.3163 14.3882 22-Dec-2017
13.3878 13.3209 13.3878 22-Dec-2017
21.5828 21.4749 21.5828 22-Dec-2017
12.8681 12.8038 12.8681 22-Dec-2017
20.9626 20.8578 20.9626 22-Dec-2017
32.58 32.25 32.58 22-Dec-2017
57.13 56.56 57.13 22-Dec-2017
30.17 29.87 30.17 22-Dec-2017
53.05 52.52 53.05 22-Dec-2017
18.81 18.62 18.81 22-Dec-2017
29.22 28.93 29.22 22-Dec-2017
17.55 17.37 17.55 22-Dec-2017
27.17 26.9 27.17 22-Dec-2017
33.17 32.84 33.17 22-Dec-2017
50.67 50.16 50.67 22-Dec-2017
29.09 28.8 29.09 22-Dec-2017
47.33 46.86 47.33 22-Dec-2017
21.5 21.5 21.5 22-Dec-2017
31.12 31.12 31.12 22-Dec-2017
20.72 20.72 20.72 22-Dec-2017
28.95 28.95 28.95 22-Dec-2017
17.74 17.56 17.74 22-Dec-2017
35.25 34.9 35.25 22-Dec-2017
16.22 16.06 16.22 22-Dec-2017
32.74 32.41 32.74 22-Dec-2017
18.86 18.67 18.86 22-Dec-2017
20.91 20.7 20.91 22-Dec-2017
17.46 17.29 17.46 22-Dec-2017
19.42 19.23 19.42 22-Dec-2017
32.85 32.52 32.85 22-Dec-2017
55.05 54.5 55.05 22-Dec-2017
30.07 29.77 30.07 22-Dec-2017
51.04 50.53 51.04 22-Dec-2017
51.5 50.99 51.5 22-Dec-2017
56.86 56.29 56.86 22-Dec-2017
48.03 47.55 48.03 22-Dec-2017
52.97 52.44 52.97 22-Dec-2017
17.66 17.48 17.66 22-Dec-2017
21.82 21.6 21.82 22-Dec-2017
16.5 16.34 16.5 22-Dec-2017
20.38 20.18 20.38 22-Dec-2017

11.9651 11.9053 11.9651 22-Dec-2017


10.6011 10.5481 10.6011 22-Dec-2017
12.4663 12.404 12.4663 22-Dec-2017
11.0269 10.9718 11.0269 22-Dec-2017
23.2947 23.1782 23.2947 22-Dec-2017
23.3416 23.2249 23.3416 22-Dec-2017
10.825 10.7709 10.825 22-Dec-2017
12.5263 12.4637 12.5263 22-Dec-2017
23.3482 23.2315 23.3482 22-Dec-2017
11.1174 11.0618 11.1174 22-Dec-2017
22.9559 22.8411 22.9559 22-Dec-2017
12.1639 12.1031 12.1639 22-Dec-2017
12.3551 12.2933 12.3551 22-Dec-2017
22.9953 22.8803 22.9953 22-Dec-2017
10.1643 10.1135 10.1643 22-Dec-2017
12.0966 12.0361 12.0966 22-Dec-2017
22.9953 22.8803 22.9953 22-Dec-2017
10.3113 10.2597 10.3113 22-Dec-2017
10.5972 10.5442 10.5972 22-Dec-2017
22.7257 22.6121 22.7257 22-Dec-2017
24.2372 24.2372 24.2372 22-Dec-2017
35.572 35.572 35.572 22-Dec-2017
23.4878 23.4878 23.4878 22-Dec-2017
33.6366 33.6366 33.6366 22-Dec-2017
9.4785 9.4785 9.4785 22-Dec-2017
9.2895 9.2895 9.2895 22-Dec-2017
8.9373 8.9373 8.9373 22-Dec-2017
8.9377 8.9377 8.9377 22-Dec-2017
28.0278 28.0278 28.0278 22-Dec-2017
27.3174 27.3174 27.3174 22-Dec-2017
67.8303 67.8303 67.8303 22-Dec-2017
27.8294 27.8294 27.8294 22-Dec-2017
28.0278 28.0278 28.0278 22-Dec-2017
28.0291 28.0291 28.0291 22-Dec-2017
26.8871 26.8871 26.8871 22-Dec-2017
11.6671 11.6671 11.6671 22-Dec-2017
26.6386 26.6386 26.6386 22-Dec-2017
18.4624 18.4624 18.4624 22-Dec-2017
26.1793 26.1793 26.1793 22-Dec-2017
64.3131 64.3131 64.3131 22-Dec-2017
30.4977 30.4977 30.4977 22-Dec-2017
33.5525 33.5525 33.5525 22-Dec-2017
29.4793 29.4793 29.4793 22-Dec-2017
31.6962 31.6962 31.6962 22-Dec-2017

39.277 38.884 39.277 22-Dec-2017


41.898 41.479 41.898 22-Dec-2017
225.743 223.486 225.743 22-Dec-2017
237.511 235.136 237.511 22-Dec-2017
24.871 24.622 24.871 22-Dec-2017
26.81 26.542 26.81 22-Dec-2017
48.794 48.306 48.794 22-Dec-2017
51.976 51.456 51.976 22-Dec-2017
28.391 28.107 28.391 22-Dec-2017
32.144 31.823 32.144 22-Dec-2017
41.539 41.124 41.539 22-Dec-2017
43.941 43.502 43.941 22-Dec-2017
20.0278 19.9777 20.0278 22-Dec-2017
20.2249 20.1743 20.2249 22-Dec-2017
10.7732 10.7463 10.7732 22-Dec-2017
10.9498 10.9224 10.9498 22-Dec-2017
23.2428 23.1847 23.2428 22-Dec-2017
24.4353 24.3742 24.4353 22-Dec-2017
25.044 24.9814 25.044 22-Dec-2017
23.7251 23.6658 23.7251 22-Dec-2017
13.5742 13.5742 13.5742 22-Dec-2017
11.6094 11.6094 11.6094 22-Dec-2017
11.3476 11.3476 11.3476 22-Dec-2017
13.2784 13.2784 13.2784 22-Dec-2017
11.3592 11.3592 11.3592 22-Dec-2017
11.2557 11.2557 11.2557 22-Dec-2017
16.287 16.124 16.287 22-Dec-2017
16.994 16.824 16.994 22-Dec-2017
16.287 16.124 16.287 22-Dec-2017
16.929 16.76 16.929 22-Dec-2017
22.273 22.05 22.273 22-Dec-2017
23.705 23.468 23.705 22-Dec-2017
25.239 24.987 25.239 22-Dec-2017
25.257 25.004 25.257 22-Dec-2017
44.311 43.868 44.311 22-Dec-2017
47.294 46.821 47.294 22-Dec-2017
83.244 82.412 83.244 22-Dec-2017
88.438 87.554 88.438 22-Dec-2017
28.343 28.06 28.343 22-Dec-2017
30.095 29.794 30.095 22-Dec-2017
119.304 118.111 119.304 22-Dec-2017
125.524 124.269 125.524 22-Dec-2017
23.992 23.752 23.992 22-Dec-2017
25.35 25.097 25.35 22-Dec-2017
33.642 33.306 33.642 22-Dec-2017
35.292 34.939 35.292 22-Dec-2017

12.769 12.705 12.769 10-Nov-2017


12.862 12.798 12.862 22-Dec-2017
10.273 10.222 10.273 22-Dec-2017
10.76 10.706 10.76 22-Dec-2017
12.594 12.531 12.594 22-Dec-2017
12.594 12.531 12.594 22-Dec-2017
10.086 10.036 10.086 22-Dec-2017
10.697 10.644 10.697 22-Dec-2017
17.078 16.907 17.078 22-Dec-2017
18.23 18.048 18.23 22-Dec-2017
16.691 16.524 16.691 22-Dec-2017
17.84 17.662 17.84 22-Dec-2017
19.234 19.042 19.234 22-Dec-2017
23.789 23.551 23.789 22-Dec-2017
18.155 17.973 18.155 22-Dec-2017
22.626 22.4 22.626 22-Dec-2017
24.801 24.553 24.801 22-Dec-2017
29.28 28.987 29.28 22-Dec-2017
24.075 23.834 24.075 22-Dec-2017
28.532 28.247 28.532 22-Dec-2017
39.304 38.911 39.304 22-Dec-2017
85.8 84.942 85.8 22-Dec-2017
35.487 35.132 35.487 22-Dec-2017
82.975 82.145 82.975 22-Dec-2017
13.049 12.919 13.049 22-Dec-2017
17.925 17.746 17.925 22-Dec-2017
12.729 12.602 12.729 22-Dec-2017
17.264 17.091 17.264 22-Dec-2017
12.513 12.388 12.513 22-Dec-2017
12.365 12.241 12.365 22-Dec-2017
26.955 26.685 26.955 22-Dec-2017
18.579 18.393 18.579 22-Dec-2017
17.442 17.268 17.442 22-Dec-2017
26.051 25.79 26.051 22-Dec-2017
14.323 14.18 14.323 22-Dec-2017
22.647 22.421 22.647 22-Dec-2017
27.775 27.497 27.775 22-Dec-2017
13.884 13.745 13.884 22-Dec-2017
20.764 20.556 20.764 22-Dec-2017
26.435 26.171 26.435 22-Dec-2017
33.729 33.392 33.729 22-Dec-2017
52.683 52.156 52.683 22-Dec-2017
31.846 31.528 31.846 22-Dec-2017
50.86 50.351 50.86 22-Dec-2017
31.807 31.489 31.807 22-Dec-2017
40.12 39.719 40.12 22-Dec-2017
29.037 28.747 29.037 22-Dec-2017
38.634 38.248 38.634 22-Dec-2017
18.91 18.72 18.91 22-Dec-2017
18.91 18.72 18.91 22-Dec-2017
19.62 19.42 19.62 22-Dec-2017
19.62 19.42 19.62 22-Dec-2017
54.42 53.88 54.42 22-Dec-2017
156 154.44 156 22-Dec-2017
51.93 51.41 51.93 22-Dec-2017
149.93 148.43 149.93 22-Dec-2017

12.9508 12.8213 12.9508 22-Dec-2017


12.9664 12.8367 12.9664 22-Dec-2017
12.6423 12.5159 12.6423 22-Dec-2017
12.6435 12.5171 12.6435 22-Dec-2017
18.5225 18.5225 18.5225 22-Dec-2017
17.6922 17.6922 17.6922 22-Dec-2017
19.1956 19.0036 19.1956 22-Dec-2017
49.7736 49.2759 49.7736 22-Dec-2017
15.7746 15.6169 15.7746 22-Dec-2017
48.1997 47.7177 48.1997 22-Dec-2017
20.1844 19.9826 20.1844 22-Dec-2017
26.3407 26.0773 26.3407 22-Dec-2017
17.9939 17.814 17.9939 22-Dec-2017
25.2712 25.0185 25.2712 22-Dec-2017
21.9126 21.6935 21.9126 22-Dec-2017
59.4775 58.8827 59.4775 22-Dec-2017
21.3913 21.1774 21.3913 22-Dec-2017
57.9916 57.4117 57.9916 22-Dec-2017
21.731 21.5137 21.731 22-Dec-2017
64.7455 64.098 64.7455 22-Dec-2017
21.615 21.3989 21.615 22-Dec-2017
63.0608 62.4302 63.0608 22-Dec-2017
16.2967 16.1337 16.2967 22-Dec-2017
16.3943 16.2304 16.3943 22-Dec-2017
15.6469 15.4904 15.6469 22-Dec-2017
15.6461 15.4896 15.6461 22-Dec-2017
15.1429 14.9915 15.1429 22-Dec-2017
15.7106 15.5535 15.7106 22-Dec-2017
14.6789 14.5321 14.6789 22-Dec-2017
15.2353 15.0829 15.2353 22-Dec-2017

11.6052 11.4891 11.6052 22-Dec-2017


11.6311 11.5148 11.6311 22-Dec-2017
11.4389 11.3245 11.4389 22-Dec-2017
11.4388 11.3244 11.4388 22-Dec-2017
10.9553 10.8457 10.9553 22-Dec-2017
11.472 11.3573 11.472 22-Dec-2017
10.7263 10.619 10.7263 22-Dec-2017
11.2399 11.1275 11.2399 22-Dec-2017

50.288 49.785 50.288 22-Dec-2017


55.154 54.602 55.154 22-Dec-2017
31.605 31.289 31.605 22-Dec-2017
52.661 52.134 52.661 22-Dec-2017
35.294 34.941 35.294 22-Dec-2017
35.544 35.189 35.544 22-Dec-2017
18.1 17.919 18.1 22-Dec-2017
33.436 33.102 33.436 22-Dec-2017
37.427 37.053 37.427 22-Dec-2017
50.259 49.756 50.259 22-Dec-2017
20.813 20.605 20.813 22-Dec-2017
48.156 47.674 48.156 22-Dec-2017
13.366 13.232 13.366 22-Dec-2017
14.423 14.279 14.423 22-Dec-2017
12.783 12.655 12.783 22-Dec-2017
13.79 13.652 13.79 22-Dec-2017
19.4348 19.2405 19.4348 22-Dec-2017
23.0957 22.8647 23.0957 22-Dec-2017
18.1166 17.9354 18.1166 22-Dec-2017
21.634 21.4177 21.634 22-Dec-2017
11.9114 11.7923 11.9114 22-Dec-2017
12.1788 12.057 12.1788 22-Dec-2017
11.9968 11.8768 11.9968 22-Dec-2017
11.7302 11.6129 11.7302 22-Dec-2017
11.9971 11.8771 11.9971 22-Dec-2017
11.7866 11.6687 11.7866 22-Dec-2017
25.6265 25.3702 25.6265 22-Dec-2017
29.1551 28.8635 29.1551 22-Dec-2017
24.3612 24.1176 24.3612 22-Dec-2017
27.7944 27.5165 27.7944 22-Dec-2017
27.9052 27.6261 27.9052 22-Dec-2017
28.2493 27.9668 28.2493 22-Dec-2017
26.9193 26.6501 26.9193 22-Dec-2017
27.2624 26.9898 27.2624 22-Dec-2017

23.8591 23.3819 23.8591 22-Dec-2017


23.2965 22.8306 23.2965 22-Dec-2017

11.0546 11.0546 11.0546 22-Dec-2017


10.6716 10.6716 10.6716 22-Dec-2017
10.9262 10.9262 10.9262 22-Dec-2017
10.6118 10.6118 10.6118 22-Dec-2017
55.73 55.17 55.73 22-Dec-2017
31.58 31.26 31.58 22-Dec-2017
23.41 23.18 23.41 22-Dec-2017
54.47 53.93 54.47 22-Dec-2017
117.76 116.58 117.76 22-Dec-2017
89.66 88.76 89.66 22-Dec-2017
112.84 111.71 112.84 22-Dec-2017
43.57 43.13 43.57 22-Dec-2017
11.77 11.77 11.77 22-Dec-2017
35.9538 35.9538 35.9538 22-Dec-2017
34.6528 34.6528 34.6528 22-Dec-2017
11.963 11.963 11.963 22-Dec-2017
12.6102 12.6102 12.6102 22-Dec-2017
14.6199 14.6199 14.6199 22-Dec-2017
46.75 46.28 46.75 22-Dec-2017
37.37 37 37.37 22-Dec-2017
156.1 154.54 156.1 22-Dec-2017
151.11 149.6 151.11 22-Dec-2017
74.3949 73.651 74.3949 22-Dec-2017
43.7212 43.284 43.7212 22-Dec-2017
42.6962 42.2692 42.6962 22-Dec-2017
72.6472 71.9207 72.6472 22-Dec-2017
64.36 63.72 64.36 22-Dec-2017
27.32 27.05 27.32 22-Dec-2017
62.34 61.72 62.34 22-Dec-2017
26.54 26.27 26.54 22-Dec-2017
20.78 20.57 20.78 22-Dec-2017
16.97 16.8 16.97 22-Dec-2017
19.8 19.6 19.8 22-Dec-2017
15.51 15.35 15.51 22-Dec-2017

54.19 52.02 54.19 22-Dec-2017


53.73 51.58 53.73 22-Dec-2017
54.02 51.86 54.02 22-Dec-2017
53.67 51.52 53.67 22-Dec-2017

12.6945 12.6628 12.6945 22-Dec-2017


17.8911 17.8464 17.8911 22-Dec-2017
12.1531 12.1227 12.1531 22-Dec-2017
17.4523 17.4087 17.4523 22-Dec-2017
10.8653 10.8381 10.8653 22-Dec-2017
10.6105 10.584 10.6105 22-Dec-2017
71.6375 70.9211 71.6375 22-Dec-2017
275.0871 272.3362 275.0871 22-Dec-2017
275.0871 272.3362 275.0871 22-Dec-2017
59.0818 58.491 59.0818 22-Dec-2017
266.7488 264.0813 266.7488 22-Dec-2017
266.7488 264.0813 266.7488 22-Dec-2017
43.7787 43.3409 43.7787 22-Dec-2017
125.8501 124.5916 125.8501 22-Dec-2017
125.8501 124.5916 125.8501 22-Dec-2017
42.0186 41.5984 42.0186 22-Dec-2017
122.1112 120.8901 122.1112 22-Dec-2017
122.1112 120.8901 122.1112 22-Dec-2017
44.8994 44.4504 44.8994 13-Jul-2016
21.9544 21.7349 21.9544 25-Apr-2017
35.9975 35.6375 35.9975 22-Dec-2017
97.6523 96.6758 97.6523 22-Dec-2017
97.6523 96.6758 97.6523 22-Dec-2017
43.8932 43.4543 43.8932 22-Dec-2017
101.4306 100.4163 101.4306 22-Dec-2017
101.4306 100.4163 101.4306 22-Dec-2017
13.0014 12.8714 13.0014 22-Dec-2017
13.0014 12.8714 13.0014 22-Dec-2017
11.8628 11.7442 11.8628 22-Dec-2017
13.0014 12.8714 13.0014 22-Dec-2017
12.0005 11.8805 12.0005 22-Dec-2017
12.6258 12.4995 12.6258 22-Dec-2017
12.6258 12.4995 12.6258 22-Dec-2017
12.6258 12.4995 12.6258 22-Dec-2017
11.6266 11.5103 11.6266 22-Dec-2017
11.4951 11.3801 11.4951 22-Dec-2017
21.5382 21.3228 21.5382 22-Dec-2017
31.8715 31.5528 31.8715 22-Dec-2017
31.8715 31.5528 31.8715 22-Dec-2017
20.9065 20.6974 20.9065 22-Dec-2017
30.788 30.4801 30.788 22-Dec-2017
30.788 30.4801 30.788 22-Dec-2017
95.9345 95.9345 95.9345 22-Dec-2017
203.9595 203.9595 203.9595 22-Dec-2017
1227.7194 1227.7194 1227.7194 22-Dec-2017
710.235 710.235 710.235 22-Dec-2017
78.5375 78.5375 78.5375 22-Dec-2017
197.346 197.346 197.346 22-Dec-2017
1185.478 1185.478 1185.478 22-Dec-2017
17.8822 17.8375 17.8822 22-Dec-2017
17.8822 17.8375 17.8822 22-Dec-2017
17.8822 17.8375 17.8822 22-Dec-2017
17.8822 17.8375 17.8822 22-Dec-2017
17.8822 17.8375 17.8822 22-Dec-2017
17.4733 17.4296 17.4733 22-Dec-2017
17.4733 17.4296 17.4733 22-Dec-2017
17.4733 17.4296 17.4733 22-Dec-2017
17.4733 17.4296 17.4733 22-Dec-2017
17.4733 17.4296 17.4733 22-Dec-2017
16.662 16.6203 16.662 22-Dec-2017
17.0293 16.9867 17.0293 22-Dec-2017
17.0293 16.9867 17.0293 22-Dec-2017
17.0293 16.9867 17.0293 22-Dec-2017
17.0293 16.9867 17.0293 22-Dec-2017
17.0293 16.9867 17.0293 22-Dec-2017
16.662 16.6203 16.662 22-Dec-2017
16.662 16.6203 16.662 22-Dec-2017
16.662 16.6203 16.662 22-Dec-2017
16.662 16.6203 16.662 22-Dec-2017
12.3927 12.2688 12.3927 22-Dec-2017
12.3927 12.2688 12.3927 22-Dec-2017
12.3927 12.2688 12.3927 22-Dec-2017
12.1098 11.9887 12.1098 22-Dec-2017
12.1098 11.9887 12.1098 22-Dec-2017
12.1098 11.9887 12.1098 22-Dec-2017
29.8254 29.5271 29.8254 22-Dec-2017
72.8047 72.0767 72.8047 22-Dec-2017
72.8047 72.0767 72.8047 22-Dec-2017
24.167 23.9253 24.167 22-Dec-2017
70.1242 69.423 70.1242 22-Dec-2017
70.1242 69.423 70.1242 22-Dec-2017
30.6083 30.6083 30.6083 22-Dec-2017
52.5877 52.5877 52.5877 22-Dec-2017
26.088 26.088 26.088 22-Dec-2017
50.4587 50.4587 50.4587 22-Dec-2017
31.0637 30.7531 31.0637 22-Dec-2017
9.6826 9.5858 9.6826 24-Dec-2015
88.846 87.9575 88.846 22-Dec-2017
27.131 26.8597 27.131 22-Dec-2017
86.328 85.4647 86.328 22-Dec-2017
86.328 85.4647 86.328 22-Dec-2017
70.5794 69.8736 70.5794 22-Dec-2017
148.2231 146.7409 148.2231 22-Dec-2017
148.2231 146.7409 148.2231 22-Dec-2017
59.8207 59.2225 59.8207 22-Dec-2017
142.3506 140.9271 142.3506 22-Dec-2017
142.3506 140.9271 142.3506 22-Dec-2017
15.022 14.9844 15.022 22-Dec-2017
26.1109 26.0456 26.1109 22-Dec-2017
26.1109 26.0456 26.1109 22-Dec-2017
13.5221 13.4883 13.5221 22-Dec-2017
25.3619 25.2985 25.3619 22-Dec-2017
25.3619 25.2985 25.3619 22-Dec-2017
35.9045 35.5455 35.9045 22-Dec-2017
80.1058 79.3047 80.1058 22-Dec-2017
28.2662 27.9835 28.2662 22-Dec-2017
77.0822 76.3114 77.0822 22-Dec-2017
14.4755 14.3307 14.4755 22-Dec-2017
14.4755 14.3307 14.4755 22-Dec-2017
14.4755 14.3307 14.4755 22-Dec-2017
13.8451 13.7066 13.8451 22-Dec-2017
13.8451 13.7066 13.8451 22-Dec-2017
13.8451 13.7066 13.8451 22-Dec-2017
38.8732 38.4845 38.8732 22-Dec-2017
49.6635 49.1669 49.6635 22-Dec-2017
49.6635 49.1669 49.6635 22-Dec-2017
36.943 36.5736 36.943 22-Dec-2017
47.4527 46.9782 47.4527 22-Dec-2017
47.4527 46.9782 47.4527 22-Dec-2017
21.7995 21.5815 21.7995 22-Dec-2017
34.7028 34.3558 34.7028 22-Dec-2017
34.7028 34.3558 34.7028 22-Dec-2017
17.4221 17.2479 17.4221 22-Dec-2017
33.2502 32.9177 33.2502 22-Dec-2017
33.2502 32.9177 33.2502 22-Dec-2017
34.3131 33.97 34.3131 22-Dec-2017
12.6209 12.4947 12.6209 22-Dec-2017
12.6209 12.4947 12.6209 22-Dec-2017
12.3365 12.2131 12.3365 22-Dec-2017
12.3365 12.2131 12.3365 22-Dec-2017
55.2281 55.2281 55.2281 22-Dec-2017
108.4055 108.4055 108.4055 22-Dec-2017
639.3657 639.3657 639.3657 22-Dec-2017
341.9336 341.9336 341.9336 22-Dec-2017
53.0142 53.0142 53.0142 22-Dec-2017
104.3044 104.3044 104.3044 22-Dec-2017
619.3093 619.3093 619.3093 22-Dec-2017

66.8744 66.2057 66.8744 22-Dec-2017


64.0143 63.3742 64.0143 22-Dec-2017
22.9965 22.7665 22.9965 22-Dec-2017
22.6302 22.4039 22.6302 22-Dec-2017
43.4563 43.0217 43.4563 22-Dec-2017
44.1432 43.7018 44.1432 22-Dec-2017
149.6542 148.1577 149.6542 22-Dec-2017
163.3202 161.687 163.3202 22-Dec-2017
21.8697 21.651 21.8697 22-Dec-2017
31.14 30.8286 31.14 22-Dec-2017
21.5656 21.3499 21.5656 22-Dec-2017
29.5322 29.2369 29.5322 22-Dec-2017
25.0263 24.776 25.0263 22-Dec-2017
34.2372 33.8948 34.2372 22-Dec-2017
24.7443 24.4969 24.7443 22-Dec-2017
33.6368 33.3004 33.6368 22-Dec-2017
90.7622 89.8546 90.7622 22-Dec-2017
95.2161 94.2639 95.2161 22-Dec-2017
90.7622 89.8546 90.7622 22-Dec-2017
95.2161 94.2639 95.2161 22-Dec-2017
40.513 40.1079 40.513 22-Dec-2017
40.0164 39.6162 40.0164 22-Dec-2017
95.2161 94.2639 95.2161 22-Dec-2017
90.7622 89.8546 90.7622 22-Dec-2017
21.317 21.1038 21.317 22-Dec-2017
26.3175 26.0543 26.3175 22-Dec-2017
24.9931 24.7432 24.9931 22-Dec-2017
16.0357 15.8753 16.0357 22-Dec-2017
23.3637 23.1301 23.3637 22-Dec-2017
23.7281 23.4908 23.7281 22-Dec-2017
23.3599 23.1263 23.3599 22-Dec-2017
25.1885 24.9366 25.1885 22-Dec-2017
21.3501 21.1366 21.3501 22-Dec-2017
21.0568 20.8462 21.0568 22-Dec-2017
29.185 28.8932 29.185 22-Dec-2017
27.1843 26.9125 27.1843 22-Dec-2017
16.3573 16.1937 16.3573 22-Dec-2017
20.8846 20.6758 20.8846 22-Dec-2017
22.2078 21.9857 22.2078 22-Dec-2017
20.9049 20.6959 20.9049 22-Dec-2017
36.134 35.7727 36.134 22-Dec-2017
50.8382 50.3298 50.8382 22-Dec-2017
35.6404 35.284 35.6404 22-Dec-2017
50.0427 49.5423 50.0427 22-Dec-2017
42.0275 41.6072 42.0275 22-Dec-2017
58.4094 57.8253 58.4094 22-Dec-2017
41.5171 41.1019 41.5171 22-Dec-2017
57.265 56.6924 57.265 22-Dec-2017

14.1407 14.07 14.1407 22-Dec-2017


13.3185 13.2519 13.3185 22-Dec-2017
22.8073 22.6933 22.8073 22-Dec-2017
22.2789 22.1675 22.2789 22-Dec-2017
15.6963 15.5393 15.6963 22-Dec-2017
15.6973 15.5403 15.6973 22-Dec-2017
15.3499 15.1964 15.3499 22-Dec-2017
15.3488 15.1953 15.3488 22-Dec-2017
26.3332 26.0699 26.3332 22-Dec-2017
22.0924 21.8715 22.0924 22-Dec-2017
40.5661 40.1604 40.5661 22-Dec-2017
38.8212 38.433 38.8212 22-Dec-2017
29.7483 29.4508 29.7483 22-Dec-2017
23.712 23.4749 23.712 22-Dec-2017
126.1974 124.9354 126.1974 22-Dec-2017
122.483 121.2582 122.483 22-Dec-2017
12.2412 12.1188 12.2412 22-Dec-2017
12.2491 12.1266 12.2491 22-Dec-2017
12.0903 11.9694 12.0903 22-Dec-2017
12.0906 11.9697 12.0906 22-Dec-2017
38.5866 38.2007 38.5866 22-Dec-2017
27.8262 27.5479 27.8262 22-Dec-2017
142.4887 141.0638 142.4887 22-Dec-2017
136.6069 135.2408 136.6069 22-Dec-2017
13.0661 12.9354 13.0661 22-Dec-2017
12.3527 12.2292 12.3527 22-Dec-2017
12.8735 12.7448 12.8735 22-Dec-2017
12.542 12.4166 12.542 22-Dec-2017
11.9834 11.8636 11.9834 22-Dec-2017
12.3618 12.2382 12.3618 22-Dec-2017
103.0965 102.581 103.0965 22-Dec-2017
123.955 123.3352 123.955 22-Dec-2017
118.0822 117.4918 118.0822 22-Dec-2017
84.0139 83.5938 84.0139 22-Dec-2017
17.8414 17.663 17.8414 22-Dec-2017
17.3957 17.2217 17.3957 22-Dec-2017
17.8625 17.6839 17.8625 22-Dec-2017
17.394 17.2201 17.394 22-Dec-2017
43.572 43.3541 43.572 22-Dec-2017
52.2219 51.9608 52.2219 22-Dec-2017
35.2643 35.088 35.2643 22-Dec-2017
49.9344 49.6847 49.9344 22-Dec-2017
28.9185 28.6293 28.9185 22-Dec-2017
28.0657 27.785 28.0657 22-Dec-2017
42.793 42.3651 42.793 22-Dec-2017
41.5539 41.1384 41.5539 22-Dec-2017
39.742 39.3446 39.742 22-Dec-2017
99.2485 98.256 99.2485 22-Dec-2017
33.4821 33.1473 33.4821 22-Dec-2017
95.8583 94.8997 95.8583 22-Dec-2017
68.9262 68.2369 68.9262 22-Dec-2017
56.6117 56.0456 56.6117 22-Dec-2017
193.0665 191.1358 193.0665 22-Dec-2017
185.3128 183.4597 185.3128 22-Dec-2017
53.6253 53.089 53.6253 22-Dec-2017
36.9446 36.5752 36.9446 22-Dec-2017
89.6802 88.7834 89.6802 22-Dec-2017
85.6922 84.8353 85.6922 22-Dec-2017
30.6061 30.3 30.6061 22-Dec-2017
26.3512 26.0877 26.3512 22-Dec-2017
50.7592 50.2516 50.7592 22-Dec-2017
48.7574 48.2698 48.7574 22-Dec-2017
113.535 112.3997 113.535 22-Dec-2017
133.834 132.4957 133.834 22-Dec-2017
225.0316 222.7813 225.0316 22-Dec-2017
229.8835 227.5847 229.8835 22-Dec-2017
91.2248 91.0424 91.2248 22-Dec-2017
89.3097 89.1311 89.3097 22-Dec-2017
46.8234 46.7298 46.8234 22-Dec-2017
45.7509 45.6594 45.7509 22-Dec-2017
113.6312 113.063 113.6312 22-Dec-2017
97.6936 97.2051 97.6936 22-Dec-2017
137.9874 137.2975 137.9874 22-Dec-2017
130.8051 130.1511 130.8051 22-Dec-2017
13.3387 13.2053 13.3387 22-Dec-2017
13.3532 13.2197 13.3532 22-Dec-2017
13.0416 12.9112 13.0416 22-Dec-2017
13.0426 12.9122 13.0426 22-Dec-2017
62.7657 62.138 62.7657 22-Dec-2017
57.5171 56.9419 57.5171 22-Dec-2017
66.208 65.5459 66.208 22-Dec-2017
47.2063 46.7342 47.2063 22-Dec-2017
30.3025 29.9995 30.3025 5-Oct-2012
30.1918 29.8899 30.1918 5-Oct-2012
10.43 10.33 10.43 10-Aug-2012
10.43 10.33 10.43 10-Aug-2012

16.4863 16.3214 16.4863 22-Dec-2017


13.1109 12.9798 13.1109 22-Dec-2017
12.8661 12.7374 12.8661 22-Dec-2017
16.0941 15.9332 16.0941 22-Dec-2017
11.0715 11.0715 11.0715 22-Jul-2016
12.1591 12.1591 12.1591 22-Jul-2016
11.252 11.252 11.252 22-Jul-2016
12.349 12.349 12.349 22-Jul-2016
15.6453 15.4888 15.6453 22-Jul-2016
0 0 0 26-Sep-2013
21.775 21.5573 21.775 22-Jul-2016
15.4447 15.2903 15.4447 22-Jul-2016
21.0981 20.8871 21.0981 22-Jul-2016
21.3857 21.1718 21.3857 22-Jul-2016
22.4575 22.2329 22.4575 22-Dec-2017
33.9947 33.6548 33.9947 22-Dec-2017
21.6675 21.4508 21.6675 22-Dec-2017
32.9877 32.6578 32.9877 22-Dec-2017
12.3205 12.1973 12.3205 22-Dec-2017
16.1179 15.9567 16.1179 22-Dec-2017
11.8335 11.7152 11.8335 22-Dec-2017
15.5483 15.3928 15.5483 22-Dec-2017
21.6982 21.4812 21.6982 22-Dec-2017
41.0454 40.6349 41.0454 22-Dec-2017
22.0004 21.7804 22.0004 22-Dec-2017
42.2035 41.7815 42.2035 22-Dec-2017
20.9748 20.7651 20.9748 22-Dec-2017
39.8843 39.4855 39.8843 22-Dec-2017
10.8084 10.5922 10.8084 16-Sep-2016
122.0254 119.5849 122.0254 16-Sep-2016
11.3979 11.1699 11.3979 16-Sep-2016
10.7271 10.5126 10.7271 16-Sep-2016
119.9317 117.5331 119.9317 16-Sep-2016
40.2735 39.8708 40.2735 22-Dec-2017
39.3431 38.9497 39.3431 22-Dec-2017
37.1186 36.7474 37.1186 22-Dec-2017
36.2292 35.8669 36.2292 22-Dec-2017
23.9478 23.7083 23.9478 22-Dec-2017
38.78 38.3922 38.78 22-Dec-2017
24.7397 24.4923 24.7397 22-Dec-2017
44.3353 43.8919 44.3353 22-Dec-2017
45.6124 45.1563 45.6124 22-Dec-2017
29.0719 28.7812 29.0719 22-Dec-2017
116.3776 115.2138 116.3776 22-Dec-2017
28.1788 27.897 28.1788 22-Dec-2017
113.566 112.4303 113.566 22-Dec-2017
29.8785 29.5797 29.8785 22-Dec-2017
118.8232 117.635 118.8232 22-Dec-2017
14.6859 14.6859 14.6859 22-Dec-2017
170.1749 170.1749 170.1749 22-Dec-2017
14.2895 14.2895 14.2895 22-Dec-2017
166.0647 166.0647 166.0647 22-Dec-2017
14.9126 14.9126 14.9126 22-Dec-2017
173.9383 173.9383 173.9383 22-Dec-2017
46.8647 46.3961 46.8647 22-Dec-2017
556.9283 551.359 556.9283 22-Dec-2017
45.4679 45.0132 45.4679 22-Dec-2017
542.8492 537.4207 542.8492 22-Dec-2017
41.7073 41.2902 41.7073 22-Dec-2017
568.4594 562.7748 568.4594 22-Dec-2017
12.662 12.662 12.662 22-Dec-2017
12.662 12.662 12.662 22-Dec-2017
12.6609 12.6609 12.6609 22-Dec-2017
12.5819 12.5819 12.5819 22-Dec-2017
12.5819 12.5819 12.5819 22-Dec-2017
12.5824 12.5824 12.5824 22-Dec-2017

17.7825 17.7825 17.7825 22-Dec-2017


17.7825 17.7825 17.7825 22-Dec-2017
17.7825 17.7825 17.7825 22-Dec-2017
17.1859 17.1859 17.1859 22-Dec-2017
17.1859 17.1859 17.1859 22-Dec-2017
17.1859 17.1859 17.1859 22-Dec-2017
11.4127 11.4127 11.4127 22-Dec-2017
11.4127 11.4127 11.4127 22-Dec-2017
11.4127 11.4127 11.4127 22-Dec-2017
11.0236 11.0236 11.0236 22-Dec-2017
11.0236 11.0236 11.0236 22-Dec-2017
11.0236 11.0236 11.0236 22-Dec-2017
31.3917 31.0778 31.3917 22-Dec-2017
78.3858 77.6019 78.3858 22-Dec-2017
33.469 33.1343 33.469 22-Dec-2017
81.0282 80.2179 81.0282 22-Dec-2017
44.2771 43.8343 44.2771 22-Dec-2017
214.1852 212.0433 214.1852 22-Dec-2017
35.0038 34.6538 35.0038 22-Dec-2017
202.4785 200.4537 202.4785 22-Dec-2017
63.7818 63.144 63.7818 22-Dec-2017
61.7418 61.1244 61.7418 22-Dec-2017
144.7988 143.3508 144.7988 22-Dec-2017
140.1578 138.7562 140.1578 22-Dec-2017
62.7799 62.1521 62.7799 22-Dec-2017
59.0699 58.4792 59.0699 22-Dec-2017
103.4099 102.3758 103.4099 22-Dec-2017
171.9968 170.2768 171.9968 22-Dec-2017
79.7004 78.9034 79.7004 22-Dec-2017
164.8562 163.2076 164.8562 22-Dec-2017
65.9351 65.7703 65.9351 22-Dec-2017
84.6765 84.4648 84.6765 22-Dec-2017
82.6963 82.4896 82.6963 22-Dec-2017
62.5798 62.4234 62.5798 22-Dec-2017
18.5454 18.5454 18.5454 22-Dec-2017
18.5454 18.5454 18.5454 22-Dec-2017
18.5454 18.5454 18.5454 22-Dec-2017
17.9171 17.9171 17.9171 22-Dec-2017
17.9171 17.9171 17.9171 22-Dec-2017
17.9171 17.9171 17.9171 22-Dec-2017
9.0917 9.0917 9.0917 22-Dec-2017
9.0917 9.0917 9.0917 22-Dec-2017
9.0917 9.0917 9.0917 22-Dec-2017
8.7923 8.7923 8.7923 22-Dec-2017
8.7923 8.7923 8.7923 22-Dec-2017
8.7923 8.7923 8.7923 22-Dec-2017
36.163 36.163 36.163 22-Dec-2017
64.1972 64.1972 64.1972 22-Dec-2017
32.3663 32.3663 32.3663 22-Dec-2017
62.6988 62.6988 62.6988 22-Dec-2017
55.6867 55.1298 55.6867 22-Dec-2017
226.7602 224.4926 226.7602 22-Dec-2017
213.3344 211.2011 213.3344 22-Dec-2017
50.669 50.1623 50.669 22-Dec-2017
130.4191 129.1149 130.4191 27-Oct-2017
55.7714 55.2137 55.7714 22-Dec-2017
157.3959 155.8219 157.3959 22-Dec-2017
45.7474 45.2899 45.7474 22-Dec-2017
151.6234 150.1072 151.6234 22-Dec-2017
127.624 126.3478 127.624 27-Oct-2017
14.3585 14.3226 14.3585 22-Dec-2017
14.9139 14.8766 14.9139 22-Dec-2017
15.2104 15.1724 15.2104 22-Dec-2017
15.8723 15.8326 15.8723 22-Dec-2017
32.6209 32.5393 32.6209 22-Dec-2017
31.0978 31.0201 31.0978 22-Dec-2017
16.569 16.569 16.569 22-Dec-2017
16.569 16.569 16.569 22-Dec-2017
16.569 16.569 16.569 22-Dec-2017
15.9955 15.9955 15.9955 22-Dec-2017
15.9955 15.9955 15.9955 22-Dec-2017
15.9955 15.9955 15.9955 22-Dec-2017
29.6586 28.7688 29.6586 22-Dec-2017
30.0663 29.1643 30.0663 22-Dec-2017
32.1464 31.182 32.1464 22-Dec-2017
32.1054 31.1422 32.1054 22-Dec-2017

20.25 20.15 20.25 22-Dec-2017


22.64 22.53 22.64 22-Dec-2017
23.57 23.45 23.57 22-Dec-2017
23.84 23.72 23.84 22-Dec-2017
37.81 37.62 37.81 22-Dec-2017
78.99 78.6 78.99 22-Dec-2017
36.2 36.02 36.2 22-Dec-2017
75.86 75.48 75.86 22-Dec-2017
41.01 40.8 41.01 22-Dec-2017
46.01 45.78 46.01 22-Dec-2017
41.87 41.66 41.87 22-Dec-2017
47.12 46.88 47.12 22-Dec-2017
49.8 49.55 49.8 22-Dec-2017
33.65 33.48 33.65 22-Dec-2017
49.8 49.55 49.8 22-Dec-2017
16.95 16.87 16.95 22-Dec-2017
34.69 34.52 34.69 22-Dec-2017
51.7 51.44 51.7 22-Dec-2017
24.83 24.71 24.83 22-Dec-2017
26.41 26.28 26.41 22-Dec-2017
25.52 25.39 25.52 22-Dec-2017
27.41 27.27 27.41 22-Dec-2017
19.2692 19.1729 19.2692 22-Dec-2017
19.2692 19.1729 19.2692 22-Dec-2017
19.841 19.7418 19.841 22-Dec-2017
20.0806 19.9802 20.0806 22-Dec-2017
76.59 76.21 76.59 22-Dec-2017
117.36 116.77 117.36 22-Dec-2017
76.79 76.41 76.79 22-Dec-2017
121.35 120.74 121.35 22-Dec-2017

19.88 19.68 19.88 22-Dec-2017


19.88 19.68 19.88 22-Dec-2017
14.18 14.04 14.18 22-Dec-2017
19.13 18.94 19.13 22-Dec-2017
10.8 10.69 10.8 22-Dec-2017
10.8 10.69 10.8 22-Dec-2017
10.7 10.59 10.7 22-Dec-2017
10.7 10.59 10.7 22-Dec-2017
16.48 16.32 16.48 22-Dec-2017
17.63 17.45 17.63 22-Dec-2017
15.93 15.77 15.93 22-Dec-2017
17.08 16.91 17.08 22-Dec-2017

130.2917 130.2917 130.2917 22-Dec-2017


132.7388 132.7388 132.7388 22-Dec-2017
99.1576 99.1576 99.1576 22-Dec-2017
101.1568 101.1568 101.1568 22-Dec-2017
35.58 35.58 36.38 20-May-2009
15.56 15.56 15.91 20-May-2009
116.2034 116.2034 116.2034 22-Dec-2017
119.1798 119.1798 119.1798 22-Dec-2017
33.6242 33.6242 33.6242 22-Dec-2017
34.7369 34.7369 34.7369 22-Dec-2017
199.1152 199.1152 199.1152 22-Dec-2017
207.4736 207.4736 207.4736 22-Dec-2017
106.0327 106.0327 106.0327 22-Dec-2017
110.9264 110.9264 110.9264 22-Dec-2017
67.4202 67.4202 67.4202 22-Dec-2017
67.8983 67.8983 67.8983 22-Dec-2017
33.9665 33.9665 33.9665 22-Dec-2017
34.208 34.208 34.208 22-Dec-2017
65.3647 65.3647 65.3647 22-Dec-2017
66.7373 66.7373 66.7373 22-Dec-2017
37.5319 37.5319 37.5319 22-Dec-2017
38.4345 38.4345 38.4345 22-Dec-2017
18.9805 18.9805 18.9805 22-Dec-2017
19.7568 19.7568 19.7568 22-Dec-2017
33.5689 33.5689 33.5689 22-Dec-2017
34.7519 34.7519 34.7519 22-Dec-2017
99.4164 99.4164 99.4164 22-Dec-2017
104.6016 104.6016 104.6016 22-Dec-2017
38.6927 38.6927 38.6927 22-Dec-2017
40.9359 40.9359 40.9359 22-Dec-2017
26.5734 26.5734 26.5734 22-Dec-2017
33.8016 33.8016 33.8016 22-Dec-2017
26.1072 26.1072 26.1072 22-Dec-2017
33.2615 33.2615 33.2615 22-Dec-2017
37.8833 37.8833 37.8833 22-Dec-2017
39.0028 39.0028 39.0028 22-Dec-2017
37.886 37.886 37.886 22-Dec-2017
39.0636 39.0636 39.0636 22-Dec-2017
10.4403 10.4403 10.44 3-Mar-2016
10.5805 10.5805 10.58 3-Mar-2016
11.8431 11.8431 11.84 3-Mar-2016
11.9979 11.9979 12 3-Mar-2016
89.1748 89.1748 89.1748 22-Dec-2017
93.085 93.085 93.085 22-Dec-2017
68.9196 68.9196 68.9196 22-Dec-2017
71.9474 71.9474 71.9474 22-Dec-2017
59.138 59.138 59.138 22-Dec-2017
60.4413 60.4413 60.4413 22-Dec-2017
30.9081 30.9081 30.9081 22-Dec-2017
31.6288 31.6288 31.6288 22-Dec-2017
116.4939 116.4939 116.4939 22-Dec-2017
121.1111 121.1111 121.1111 22-Dec-2017
63.3208 63.3208 63.3208 22-Dec-2017
67.6989 67.6989 67.6989 22-Dec-2017
14.3018 14.3018 14.3018 22-Dec-2017
14.5341 14.5341 14.5341 22-Dec-2017
14.3018 14.3018 14.3018 22-Dec-2017
14.5341 14.5341 14.5341 22-Dec-2017
19.6037 19.6037 19.6037 22-Dec-2017
22.3764 22.3764 22.3764 22-Dec-2017
59.3995 59.3995 59.3995 22-Dec-2017
61.6363 61.6363 61.6363 22-Dec-2017
15.8927 0 15.8927 22-Dec-2017
16.6719 0 16.6719 22-Dec-2017
23.0541 0 23.0541 22-Dec-2017
23.5694 0 23.5694 22-Dec-2017
63.1677 63.1677 63.1677 22-Dec-2017
65.1509 65.1509 65.1509 22-Dec-2017
17.9221 17.9221 17.9221 22-Dec-2017
19.6173 19.6173 19.6173 22-Dec-2017
58.5216 58.5216 58.5216 22-Dec-2017
61.6677 61.6677 61.6677 22-Dec-2017
126.9136 126.9136 126.9136 22-Dec-2017
133.3543 133.3543 133.3543 22-Dec-2017

51.3569 51.3569 51.3569 22-Dec-2017


49.9965 49.9965 49.9965 22-Dec-2017
12.7647 12.7647 12.7647 22-Dec-2017
12.3892 12.3892 12.3892 22-Dec-2017
10.0262 10.0262 10.0262 22-Dec-2017
10.5345 10.5345 10.5345 22-Dec-2017
100.2589 100.2589 100.2589 22-Dec-2017
100.4681 100.4681 100.4681 22-Dec-2017
427.0385 427.0385 427.0385 22-Dec-2017
409.902 409.902 409.902 22-Dec-2017
100.2217 100.2217 100.2217 22-Dec-2017
287.399 287.399 287.399 22-Dec-2017
100.3031 100.3031 100.3031 22-Dec-2017
100.3088 100.3088 100.3088 22-Dec-2017
100.303 100.303 100.303 22-Dec-2017
12.9694 12.8397 12.9694 22-Dec-2017
11.7236 11.6064 11.7236 22-Dec-2017
12.9696 12.8399 12.9696 22-Dec-2017
12.6714 12.5447 12.6714 22-Dec-2017
11.4206 11.3064 11.4206 22-Dec-2017
12.656 12.5294 12.656 22-Dec-2017
12.3488 12.2871 12.3488 22-Dec-2017
30.6961 30.5426 30.6961 22-Dec-2017
29.8726 29.7232 29.8726 22-Dec-2017
10.9834 10.9285 10.9834 22-Dec-2017
10.7913 10.7373 10.7913 22-Dec-2017
10.3515 10.2997 10.3515 22-Dec-2017
10.1124 10.0618 10.1124 22-Dec-2017
12.106 12.0455 12.106 22-Dec-2017
20.6642 20.5609 20.6642 22-Dec-2017
19.0688 19.0688 19.0688 22-Dec-2017
11.554 11.554 11.554 22-Dec-2017
11.2933 11.2933 11.2933 22-Dec-2017
78.2914 78.2914 78.2914 22-Dec-2017
75.5838 75.5838 75.5838 22-Dec-2017
13.0534 13.0534 13.0534 22-Dec-2017
12.5225 12.5225 12.5225 22-Dec-2017
15.3254 15.1721 15.3254 22-Dec-2017
14.799 14.651 14.799 22-Dec-2017
22.2478 22.0253 22.2478 22-Dec-2017
21.5658 21.3501 21.5658 22-Dec-2017
11.5166 11.4014 11.5166 22-Dec-2017
11.1651 11.0534 11.1651 22-Dec-2017
10 9.9 10 18-Aug-2009
10 9.75 10 21-Nov-2012
20.937 20.7276 20.937 22-Dec-2017
0 0 0 3-Jul-2014
10.2173 10.1918 10.2173 11-Feb-2011
10.3669 10.1596 10.3669 10-Jan-2014
10.3713 10.2676 10.3713 22-Dec-2017
10.2169 10.1147 10.2169 22-Dec-2017
0 0 0 2-Apr-2009
10.1991 10.1736 10.1991 11-Feb-2011
47.1843 46.7125 47.1843 22-Dec-2017
13.7629 13.6253 13.7629 22-Dec-2017
45.7405 45.2831 45.7405 22-Dec-2017
12.2834 12.1606 12.2834 22-Dec-2017
33.0523 32.7218 33.0523 22-Dec-2017
33.8903 33.5514 33.8903 22-Dec-2017
14.0871 13.9462 14.0871 22-Dec-2017
13.2834 13.1506 13.2834 22-Dec-2017
40.8769 40.4681 40.8769 22-Dec-2017
39.1352 38.7438 39.1352 22-Dec-2017
21.7783 21.5605 21.7783 22-Dec-2017
15.5737 15.418 15.5737 22-Dec-2017
12.8076 12.6795 12.8076 22-Dec-2017
68.3459 67.6624 68.3459 22-Dec-2017
65.9802 65.3204 65.9802 22-Dec-2017
13.321 13.1878 13.321 22-Dec-2017
12.5218 12.3966 12.5218 22-Dec-2017
14.0043 13.8643 14.0043 22-Dec-2017
100.236 100.236 100.236 22-Dec-2017
100.2937 100.2937 100.2937 22-Dec-2017
191.7833 191.7833 191.7833 22-Dec-2017
337.0319 337.0319 337.0319 22-Dec-2017
335.1579 335.1579 335.1579 22-Dec-2017
100.2065 100.2065 100.2065 22-Dec-2017
100.2043 100.2043 100.2043 22-Dec-2017
10.9092 10.9092 10.9092 11-Feb-2011
10.3099 10.3099 10.3099 11-Feb-2011
10.2848 10.2848 10.2848 11-Feb-2011
100.2043 100.2043 100.2043 22-Dec-2017
100.2326 100.2326 100.2326 22-Dec-2017
11.3376 11.3376 11.3376 11-Feb-2011
324.304 324.304 324.304 22-Dec-2017
11.7535 11.6947 11.7535 11-Feb-2011
10.6457 10.5925 10.6457 11-Feb-2011
35.2986 35.1221 35.2986 11-Feb-2011
15.5708 15.4929 15.5708 11-Feb-2011
35.0763 34.9009 35.0763 11-Feb-2011
20.0763 20.0763 20.0763 22-Dec-2017
12.2203 12.2203 12.2203 22-Dec-2017
12.2243 12.2243 12.2243 22-Dec-2017
65.6008 65.6008 65.6008 22-Dec-2017
65.2556 65.2556 65.2556 22-Dec-2017
11.5929 11.5929 11.5929 22-Dec-2017
11.5519 11.5519 11.5519 22-Dec-2017
17.4672 17.3799 17.4672 22-Dec-2017
16.9884 16.9035 16.9884 22-Dec-2017
29.2284 29.0823 29.2284 22-Dec-2017
28.4105 28.2684 28.4105 22-Dec-2017
10.3714 10.3195 10.3714 22-Dec-2017
10.1652 10.1144 10.1652 22-Dec-2017
12.9746 12.8449 12.9746 7-Oct-2013
17.5991 17.3351 17.5991 19-Oct-2015
10 9.95 10 21-Nov-2012
149.2793 149.2793 149.2793 22-Dec-2017
220.603 220.603 220.603 22-Dec-2017
107.2856 107.2856 107.2856 22-Dec-2017
104.2941 104.2941 104.2941 22-Dec-2017
202.087 202.087 202.087 22-Dec-2017
147.538 147.538 147.538 22-Dec-2017
217.8492 217.8492 217.8492 22-Dec-2017
106.0535 106.0535 106.0535 22-Dec-2017
103.2115 103.2115 103.2115 22-Dec-2017
327.0236 327.0236 327.0236 22-Dec-2017
105.9157 105.9157 105.9157 22-Dec-2017
105.8373 105.8373 105.8373 22-Dec-2017
10.8068 10.7798 10.8068 11-Feb-2011

1289.4075 1289.4075 1289.4075 18-May-2015


1007.9784 1007.9784 1007.9784 22-Dec-2017
1532.8272 1532.8272 1532.8272 14-Jun-2017
1008.0028 1008.0028 1008.0028 22-Dec-2017
1586.5899 1586.5899 1586.5899 22-Dec-2017
1010.689 1010.689 1010.689 22-Dec-2017
1007.437 1007.437 1007.437 22-Dec-2017
1572.5694 1572.5694 1572.5694 22-Dec-2017
1010.5393 1010.5393 1010.5393 22-Dec-2017
1007.4042 1007.4042 1007.4042 22-Dec-2017
10.0788 10.0788 10.0788 22-Dec-2017
10.3259 10.3259 10.3259 22-Dec-2017
10.0862 10.0862 10.0862 22-Dec-2017
10.3231 10.3231 10.3231 22-Dec-2017
10.051 10.051 10.051 22-Dec-2017
10.0718 10.0718 10.0718 22-Dec-2017
10.2851 10.2851 10.2851 22-Dec-2017
10.0801 10.0801 10.0801 22-Dec-2017
10.2857 10.2857 10.2857 22-Dec-2017
10.05 10.05 10.05 22-Dec-2017
10.5724 10.5724 10.5724 22-Dec-2017
18.4236 18.4236 18.4236 22-Dec-2017
11.2403 11.2403 11.2403 22-Dec-2017
11.0758 11.0758 11.0758 22-Dec-2017
17.4006 17.4006 17.4006 22-Dec-2017
10.3626 10.3626 10.3626 22-Dec-2017
13.9547 13.8152 13.9547 22-Dec-2017
10.0553 9.9547 10.0553 22-Dec-2017
10.2365 10.1341 10.2365 22-Dec-2017
13.4288 13.2945 13.4288 22-Dec-2017
10.1007 9.9997 10.1007 22-Dec-2017
10.1519 10.0504 10.1519 22-Dec-2017
13.1052 12.9741 13.1052 22-Dec-2017
19.7685 19.5708 19.7685 22-Dec-2017
12.1146 11.9935 12.1146 22-Dec-2017
13.8254 13.6871 13.8254 22-Dec-2017
12.4808 12.356 12.4808 22-Dec-2017
11.4833 11.3685 11.4833 22-Dec-2017
11.1636 11.052 11.1636 22-Dec-2017
18.4731 18.2884 18.4731 22-Dec-2017
13.256 13.1234 13.256 30-Jan-2015
17.357 17.1834 17.357 22-Dec-2017
11.259 11.1464 11.259 22-Dec-2017
11.1971 11.0851 11.1971 22-Dec-2017
16.626 16.4597 16.626 22-Dec-2017
10.9967 10.8867 10.9967 22-Dec-2017
10.6003 10.4943 10.6003 22-Dec-2017
18.6434 18.6434 18.6434 22-Dec-2017
19.2822 19.2822 19.2822 22-Dec-2017
10.0166 10.0166 10.0166 22-Dec-2017
11.7469 11.7469 11.7469 22-Dec-2017
10.2307 10.2307 10.2307 22-Dec-2017
18.5372 18.5372 18.5372 22-Dec-2017
10.1455 10.1455 10.1455 22-Dec-2017
12.4011 12.4011 12.4011 22-Dec-2017
18.3281 18.3281 18.3281 22-Dec-2017
10.0102 10.0102 10.0102 22-Dec-2017
10.1372 10.1372 10.1372 22-Dec-2017
10.2287 10.2287 10.2287 22-Dec-2017
1006.1955 1006.1955 1006.1955 22-Dec-2017
1847.5931 1847.5931 1847.5931 10-Apr-2017
1007.2893 1007.2893 1007.2893 22-Dec-2017
1939.328 1939.328 1939.328 22-Dec-2017
1008.7732 1008.7732 1008.7732 22-Dec-2017
1004.7704 1004.7704 1004.7704 22-Dec-2017
1898.6144 1898.6144 1898.6144 22-Dec-2017
1006.1122 1006.1122 1006.1122 22-Dec-2017
1008.4032 1008.4032 1008.4032 22-Dec-2017
1005.3798 1005.3798 1005.3798 22-Dec-2017
1779.0561 1779.0561 1779.0561 22-Dec-2017
1007.9116 1007.9116 1007.9116 22-Dec-2017
1004.6338 1004.6338 1004.6338 22-Dec-2017

11.0743 10.9636 11.0743 22-Feb-2016


13.2275 13.0952 13.2275 22-Dec-2017
10.8701 10.7614 10.8701 22-Dec-2017
10.8837 10.7749 10.8837 22-Dec-2017
13.7009 13.5639 13.7009 22-Dec-2017
11.3256 11.2123 11.3256 22-Dec-2017
11.2828 11.17 11.2828 22-Dec-2017
13.7009 13.5639 13.7009 22-Dec-2017
13.3431 13.2764 13.3431 22-Dec-2017
16.1845 16.1036 16.1845 22-Dec-2017
13.9913 13.9213 13.9913 22-Dec-2017
16.8619 16.7776 16.8619 22-Dec-2017
22.9548 22.7253 22.9548 22-Dec-2017
26.0777 25.8169 26.0777 22-Dec-2017
23.2528 23.0203 23.2528 22-Dec-2017
27.1475 26.876 27.1475 22-Dec-2017
22.3646 22.141 22.3646 22-Dec-2017
13.7515 13.614 13.7515 22-Dec-2017
13.5027 13.3677 13.5027 22-Dec-2017
23.3 23.067 23.3 22-Dec-2017
13.8936 13.7547 13.8936 22-Dec-2017
14.112 13.9709 14.112 22-Dec-2017
10.0282 10.0182 10.0282 22-Dec-2017
10.049 10.039 10.049 22-Dec-2017
18.1102 18.0921 18.1102 22-Dec-2017
10.3112 10.3009 10.3112 22-Dec-2017
18.6608 18.6421 18.6608 22-Dec-2017
10.316 10.3057 10.316 22-Dec-2017
1977.9053 1977.9053 1977.9053 22-Dec-2017
1947.0463 1947.0463 1947.0463 30-May-2017
1008.8188 1008.8188 1008.8188 22-Dec-2017
2024.6721 2024.6721 2024.6721 22-Dec-2017
1006.5781 1006.5781 1006.5781 22-Dec-2017
1051.7352 1051.7352 1051.7352 22-Dec-2017
1001.9589 1001.9589 1001.9589 22-Dec-2017
1030.6047 1030.6047 1030.6047 22-Dec-2017
1992.3353 1992.3353 1992.3353 22-Dec-2017
1006.3646 1006.3646 1006.3646 22-Dec-2017
1044.2057 1044.2057 1044.2057 22-Dec-2017
1001.9269 1001.9269 1001.9269 22-Dec-2017
1006.4883 1006.4883 1006.4883 22-Dec-2017
1942.9661 1942.9661 1942.9661 22-Dec-2017
1006.3647 1006.3647 1006.3647 22-Dec-2017
1204.9392 1204.9392 1204.9392 29-Sep-2016
1001.9563 1001.9563 1001.9563 22-Dec-2017

10.5932 10.5932 10.5932 22-Dec-2017


10.0102 10.0102 10.0102 22-Dec-2017
10.7083 10.7083 10.7083 22-Dec-2017
19.177 19.177 19.177 22-Dec-2017
10.0134 10.0134 10.0134 22-Dec-2017
10.3464 10.3464 10.3464 22-Dec-2017
10.5925 10.5925 10.5925 22-Dec-2017
21.4783 21.4783 21.4783 22-Dec-2017
10.0104 10.0104 10.0104 22-Dec-2017
10.1482 10.1482 10.1482 22-Dec-2017
18.6266 18.6266 18.6266 22-Dec-2017
10.1477 10.1477 10.1477 22-Dec-2017
10.2128 10.2128 10.2128 22-Dec-2017
30.337 30.337 30.337 22-Dec-2017
10 10 10 22-Dec-2017
9.9453 9.9453 9.9453 22-Dec-2017
10.0061 10.0061 10.0061 22-Dec-2017
10 10 10 22-Dec-2017
10.0251 10.0251 10.0251 22-Dec-2017
29.4124 29.4124 29.4124 22-Dec-2017
9.9828 9.9828 9.9828 22-Dec-2017
9.9316 9.9316 9.9316 22-Dec-2017
9.9814 9.9814 9.9814 22-Dec-2017
9.996 9.996 9.996 22-Dec-2017
20.1799 20.1799 20.1799 22-Dec-2017
9.9969 9.9969 9.9969 22-Dec-2017
10.7059 10.7059 10.7059 22-Dec-2017
10.1626 10.1626 10.1626 22-Dec-2017
10 10 10 22-Dec-2017
10 10 10 22-Dec-2017
14.0889 14.0889 14.0889 22-Dec-2017
10 10 10 22-Dec-2017
10.0242 10.0242 10.0242 22-Dec-2017
13.6597 13.6597 13.6597 22-Dec-2017
10.1653 10.1653 10.1653 22-Dec-2017
10.0175 10.0175 10.0175 22-Dec-2017
10.0587 10.0587 10.0587 22-Dec-2017
25.6069 25.6069 25.6069 22-Dec-2017
10.0192 10.0192 10.0192 22-Dec-2017
10.0106 10.0106 10.0106 22-Dec-2017
10.0822 10.0822 10.0822 22-Dec-2017
26.4676 26.4676 26.4676 22-Dec-2017
10 10 10 22-Dec-2017
10.0108 10.0108 10.0108 22-Dec-2017
10.0484 10.0484 10.0484 22-Dec-2017
25.0301 25.0301 25.0301 22-Dec-2017
10.0209 10.0209 10.0209 22-Dec-2017
10.0107 10.0107 10.0107 22-Dec-2017
29.1218 29.1218 29.1218 22-Dec-2017
11.4219 11.4219 11.4219 22-Dec-2017
11.08 11.08 11.08 22-Dec-2017
27.0254 27.0254 27.0254 22-Dec-2017
10.6282 10.6282 10.6282 22-Dec-2017
10.8126 10.8126 10.8126 22-Dec-2017
10.0229 10.0229 10.0229 22-Dec-2017
19.4912 19.4912 19.4912 22-Dec-2017
10.0052 10.0052 10.0052 22-Dec-2017
10.0911 10.0911 10.0911 22-Dec-2017
10.0368 10.0368 10.0368 22-Dec-2017
10.1366 10.1366 10.1366 22-Dec-2017
19.9925 19.9925 19.9925 22-Dec-2017
10.0078 10.0078 10.0078 22-Dec-2017
10.1435 10.1435 10.1435 22-Dec-2017
10.0013 10.0013 10.0013 22-Dec-2017
26.2008 26.2008 26.2008 22-Dec-2017
10.0054 10.0054 10.0054 22-Dec-2017
10.0927 10.0927 10.0927 22-Dec-2017
10.0197 10.0197 10.0197 22-Dec-2017

13.0943 12.5705 13.0943 22-Dec-2017


13.0491 12.5271 13.0491 22-Dec-2017
11.3411 11.2277 11.3411 22-Dec-2017
21.4557 21.2411 21.4557 22-Dec-2017
10.6641 10.5575 10.6641 22-Dec-2017
11.9507 11.8312 11.9507 22-Dec-2017
11.0904 10.9795 0 14-Jul-2014
21.3144 21.1013 0 22-Dec-2017
18.3954 18.2114 0 22-Dec-2017
11.0975 10.9865 0 22-Dec-2017
11.1128 11.0017 11.1128 22-Dec-2017
21.0139 20.8038 21.0139 22-Dec-2017
12.7051 12.578 12.7051 22-Dec-2017
11.7801 11.6623 11.7801 22-Dec-2017
19.5694 19.5694 19.5694 22-Dec-2017
10.3456 10.3456 10.3456 22-Dec-2017
10.4485 10.4485 10.4485 22-Dec-2017
18.6816 18.6816 18.6816 22-Dec-2017
10.3508 10.3508 10.3508 22-Dec-2017
10.2277 10.2277 10.2277 22-Dec-2017
2083.6625 2083.6625 2083.6625 22-Dec-2017
1008.0599 1008.0599 1008.0599 22-Dec-2017
2075.0487 2075.0487 2075.0487 22-Dec-2017
2059.1239 2059.1239 2059.1239 22-Dec-2017
1008.6046 1008.6046 1008.6046 22-Dec-2017
1006.9992 1006.9992 1006.9992 22-Dec-2017
1007.4498 1007.4498 1007.4498 22-Dec-2017

14.4258 14.4258 14.4258 22-Dec-2017


19.8793 19.8793 19.8793 22-Dec-2017
14.0192 14.0192 14.0192 22-Dec-2017
19.3818 19.3818 19.3818 22-Dec-2017
35.6552 35.6552 35.6552 22-Dec-2017
14.6801 14.6801 14.6801 22-Dec-2017
15.216 15.216 15.216 22-Dec-2017
36.8622 36.8622 36.8622 22-Dec-2017
15.273 15.273 15.273 22-Dec-2017
11.0366 11.0366 11.0366 22-Dec-2017
14.7712 14.7712 14.7712 22-Dec-2017
10.3081 10.3081 10.3081 22-Dec-2017
11.4182 11.4182 11.4182 22-Dec-2017
14.0092 14.0092 14.0092 22-Dec-2017
11.1798 11.1798 11.1798 22-Dec-2017
13.7445 13.7445 13.7445 22-Dec-2017
15.2582 15.2582 15.2582 22-Dec-2017
15.7733 15.7733 15.7733 22-Dec-2017
52.9549 52.9549 52.9549 22-Dec-2017
14.4023 14.4023 14.4023 22-Dec-2017
14.8881 14.8881 14.8881 22-Dec-2017
55.7354 55.7354 55.7354 22-Dec-2017
19.528 19.528 19.528 22-Dec-2017
10.1382 10.1382 10.1382 22-Dec-2017
10.117 10.117 10.117 22-Dec-2017
18.4306 18.4306 18.4306 1-Jul-2016
10.1271 10.1271 10.1271 3-Sep-2015
19.116 19.116 19.116 22-Dec-2017
10.1344 10.1344 10.1344 22-Dec-2017
10.1157 10.1157 10.1157 22-Dec-2017
1240.71 1240.71 1240.71 22-Dec-2017
1494.7003 1494.7003 1494.7003 22-Dec-2017
2609.9091 2609.9091 2609.9091 22-Dec-2017
1003.8446 1003.8446 1003.8446 22-Dec-2017
1241.0948 1241.0948 1241.0948 22-Dec-2017
1240.71 1240.71 1240.71 27-Jan-2017
2597.5418 2597.5418 2597.5418 27-Jan-2017
2558.0553 2558.0553 2558.0553 22-Dec-2017
1240.71 1240.71 1240.71 22-Dec-2017
1003.402 1003.402 1003.402 22-Dec-2017
1241.0473 1241.0473 1241.0473 22-Dec-2017
1240.71 1240.71 1240.71 27-Jan-2017
2526.12 2526.12 2526.12 27-Jan-2017
1738.5673 1738.5673 1738.5673 27-Jan-2017
1241.0439 1241.0439 1241.0439 27-Jan-2017
1241.0439 1241.0439 1241.0439 27-Jan-2017
1050.9184 1050.9184 1050.9184 22-Dec-2017
16.8239 16.8239 16.8239 22-Dec-2017
15.3939 15.3939 15.3939 22-Dec-2017
15.4587 15.4587 15.4587 22-Dec-2017
16.1857 16.1857 16.1857 22-Dec-2017
14.4956 14.4956 14.4956 22-Dec-2017
14.831 14.831 14.831 22-Dec-2017

13.3974 13.3974 13.3974 1-Aug-2016


10.2436 10.2436 10.2436 22-Dec-2017
11.6111 11.6111 11.6111 1-Aug-2016
10.5172 10.5172 10.5172 22-Dec-2017
10.2562 10.2562 10.2562 22-Dec-2017
14.732 14.732 14.732 22-Dec-2017
13.6246 13.6246 13.6246 1-Aug-2016
14.9258 14.9258 14.9258 22-Dec-2017
10.6206 10.6206 10.6206 22-Dec-2017
10.4312 10.4312 10.4312 22-Dec-2017
10.92 10.92 10.92 22-Dec-2017
10.2103 10.2103 10.2103 22-Dec-2017
15.0666 15.0666 15.0666 22-Dec-2017
12.4976 12.3726 12.4976 2-Jan-2017
11.1872 11.0753 11.1872 22-Dec-2017
10.7195 10.6123 10.7195 22-Dec-2017
13.8099 13.6718 13.8099 22-Dec-2017
13.974 13.8343 13.974 22-Dec-2017
10.6567 10.5501 10.6567 22-Dec-2017
13.4267 13.2924 13.4267 22-Dec-2017
13.0123 12.8822 13.0123 22-Dec-2017
13.5207 13.3855 13.5207 22-Dec-2017
10.5188 10.4136 10.5188 22-Dec-2017
1703.5935 1686.5576 1703.5935 22-Dec-2017
1202.5825 1190.5567 1202.5825 22-Dec-2017
1160.7603 1149.1527 1160.7603 22-Dec-2017
1037.0205 1026.6503 1037.0205 22-Dec-2017
1106.3681 1095.3044 1106.3681 22-Dec-2017
1627.7854 1611.5075 1627.7854 22-Dec-2017
1631.8015 1615.4835 1631.8015 21-Jun-2017
1335.436 1322.0816 1335.436 16-Jun-2015
13.7846 13.7846 13.7846 22-Dec-2017
13.6742 13.6742 13.6742 22-Dec-2017
22.1456 21.8134 22.1456 22-Dec-2017
10.4046 10.2485 10.4046 22-Dec-2017
10.5825 10.4238 10.5825 22-Dec-2017
21.0127 20.6975 21.0127 22-Dec-2017
13.2898 13.2898 13.2898 22-Dec-2017
11.3899 11.3899 11.3899 22-Dec-2017
11.0345 11.0345 11.0345 22-Dec-2017
13.2882 13.2882 13.2882 22-Dec-2017
12.9051 12.9051 12.9051 22-Dec-2017
12.8975 12.8975 12.8975 22-Dec-2017
11.3131 11.3131 11.3131 22-Dec-2017
11.0705 11.0705 11.0705 22-Dec-2017
12.8975 12.8975 12.8975 22-Dec-2017
13.8298 13.8298 13.8298 22-Dec-2017
11.9216 11.9216 11.9216 22-Dec-2017
10.0257 10.0257 10.0257 22-Dec-2017
11.6491 11.6491 11.6491 22-Dec-2017
14.1445 14.1445 14.1445 22-Dec-2017
12.8827 12.8827 12.8827 22-Dec-2017
10.0262 10.0262 10.0262 22-Dec-2017
10.1449 10.1449 10.1449 22-Dec-2017
23.9235 23.9235 23.9235 22-Dec-2017
13.0349 13.0349 13.0349 22-Dec-2017
11.1691 11.1691 11.1691 22-Dec-2017
10.3718 10.3718 10.3718 22-Dec-2017
10.22 10.22 10.22 22-Dec-2017
10.1443 10.1443 10.1443 22-Dec-2017
23.2817 23.2817 23.2817 22-Dec-2017
12.856 12.856 12.856 22-Dec-2017
10.344 10.344 10.344 22-Dec-2017
11.3066 11.3066 11.3066 22-Dec-2017
10.8647 10.8647 10.8647 22-Dec-2017
21.2957 21.2957 21.2957 22-Dec-2017
10.0761 10.0761 10.0761 22-Dec-2017
10.0416 10.0416 10.0416 22-Dec-2017
18.0136 18.0136 18.0136 22-Dec-2017
11.3043 11.3043 11.3043 22-Dec-2017
10.1051 10.1051 10.1051 22-Dec-2017
10.4954 10.3904 10.4954 22-Dec-2017
10.7616 10.654 10.7616 22-Dec-2017
10.6698 10.5631 10.6698 22-Dec-2017
10.2161 10.1139 10.2161 22-Dec-2017
12.9974 12.8674 12.9974 22-Dec-2017
14.8706 14.7219 14.8706 22-Dec-2017
12.6522 12.5257 12.6522 22-Dec-2017
14.4834 14.3386 14.4834 22-Dec-2017
24.9334 24.6841 24.9334 1-Aug-2016
11.3316 11.3316 11.3316 22-Dec-2017
15.226 15.0737 15.226 1-Aug-2016
12.484 12.484 12.484 22-Dec-2017
28.3042 28.3042 28.3042 22-Dec-2017
13.2164 13.0842 13.2164 1-Aug-2016
15.6953 15.6953 15.6953 22-Dec-2017
13.1231 13.1231 13.1231 22-Dec-2017
26.9924 26.9924 26.9924 22-Dec-2017
12.608 12.608 12.608 22-Dec-2017
13.3417 13.3417 13.3417 22-Dec-2017
16.2894 16.2894 16.2894 22-Dec-2017
11.958 11.958 11.958 22-Dec-2017
20.8388 20.8388 20.8388 22-Dec-2017
10.8426 10.8426 10.8426 22-Dec-2017
17.9931 17.9931 17.9931 22-Dec-2017
21.7258 21.7258 21.7258 22-Dec-2017
10.1295 10.1295 10.1295 22-Dec-2017
32.589 32.589 32.589 22-Dec-2017
12.7489 12.6533 12.7489 30-Jun-2016
13.6387 13.6387 13.6387 22-Dec-2017
11.098 11.098 11.098 22-Dec-2017
10.4318 10.4318 10.4318 22-Dec-2017
31.2585 31.2585 31.2585 22-Dec-2017
12.63 12.63 12.63 22-Dec-2017
19.996 19.996 19.996 22-Dec-2017
13.103 13.103 13.103 22-Dec-2017
17.5608 17.5608 17.5608 22-Dec-2017
10.579 10.579 10.579 22-Dec-2017
10.3469 10.3469 10.3469 22-Dec-2017
10.66 10.66 10.66 22-Dec-2017
10.2033 10.2033 10.2033 22-Dec-2017
12.9581 12.9581 12.9581 22-Dec-2017
16.0272 16.0272 16.0272 6-Oct-2017
14.202 14.202 14.202 22-Dec-2017
10.2191 10.2191 10.2191 22-Dec-2017
12.4634 12.4634 12.4634 22-Dec-2017
18.9815 18.9815 18.9815 22-Dec-2017
13.1155 13.1155 13.1155 20-Sep-2016
10.2194 10.2194 10.2194 22-Dec-2017
19.0658 19.0658 19.0658 22-Dec-2017
10.0335 10.0335 10.0335 23-Nov-2017
11.0161 11.0161 11.0161 22-Dec-2017
10.726 10.726 10.726 8-Dec-2016
18.8669 18.8669 18.8669 22-Dec-2017
10.0417 10.0417 10.0417 30-Mar-2016
10.6041 10.6041 10.6041 22-Dec-2017
12.2998 12.2998 12.2998 1-Aug-2016
10.004 10.004 10.004 11-Oct-2017
10.0761 10.0761 10.0761 22-Dec-2017
16.9495 16.9495 16.9495 3-Jan-2017
20.6765 20.6765 20.6765 22-Dec-2017
10.1863 10.1863 10.1863 22-Dec-2017
15.5156 15.5156 15.5156 22-Dec-2017
10.0203 10.0203 10.0203 22-Dec-2017
13.8943 13.8943 13.8943 22-Dec-2017
13.1169 13.1169 13.1169 17-Oct-2016
15.6573 15.6573 15.6573 22-Dec-2017
10.0179 10.0179 10.0179 22-Dec-2017
13.8661 13.8661 13.8661 31-Jul-2017
20.8924 20.8924 20.8924 22-Dec-2017
12.4436 12.4436 12.4436 22-Dec-2017
11.0413 11.0413 11.0413 22-Dec-2017
10.9624 10.9624 10.9624 22-Dec-2017
10.2717 10.2717 10.2717 22-Dec-2017
14.1975 14.1975 14.1975 22-Dec-2017
20.6662 20.6662 20.6662 22-Dec-2017
12.6745 12.6745 12.6745 22-Dec-2017
10.7424 10.7424 10.7424 22-Dec-2017
11.227 11.227 11.227 22-Dec-2017
15.6485 15.6485 15.6485 22-Dec-2017
10.0197 10.0197 10.0197 22-Dec-2017
25.9799 25.9799 25.9799 22-Dec-2017
10.2109 10.2109 10.2109 22-Dec-2017
10.5028 10.5028 10.5028 22-Dec-2017
10.0835 10.0835 10.0835 22-Dec-2017

10.1236 10.1236 10.1236 22-Dec-2017


10.6955 10.6955 10.6955 22-Dec-2017
14.6442 14.6442 14.6442 22-Dec-2017
10.139 10.139 10.139 22-Dec-2017
10.2186 10.2186 10.2186 22-Dec-2017
10.2175 10.2175 10.2175 22-Dec-2017
10.1214 10.1214 10.1214 22-Dec-2017
10.675 10.675 10.675 22-Dec-2017
14.4363 14.4363 14.4363 22-Dec-2017
10.1374 10.1374 10.1374 22-Dec-2017
10.2122 10.2122 10.2122 22-Dec-2017
10.1249 10.1249 10.1249 22-Dec-2017
11.3134 11.2851 11.3134 22-Dec-2017
55.8439 55.7043 55.8439 22-Dec-2017
11.0511 11.0235 11.0511 22-Dec-2017
11.1823 11.1543 11.1823 22-Dec-2017
54.1091 53.9738 54.1091 22-Dec-2017
10.9525 10.9251 10.9525 22-Dec-2017
10.2326 10.1303 10.2326 22-Dec-2017
11.7761 11.6583 11.7761 22-Dec-2017
28.9305 28.6412 28.9305 22-Dec-2017
10.54 10.4346 10.54 22-Dec-2017
10.65 10.5435 10.65 22-Dec-2017
10.2346 10.1323 10.2346 22-Dec-2017
10.515 10.4099 10.515 22-Dec-2017
10.5976 10.4916 10.5976 22-Dec-2017
10.2303 10.128 10.2303 22-Dec-2017
11.6959 11.5789 11.6959 22-Dec-2017
28.121 27.8398 28.121 22-Dec-2017
10.2321 10.1298 10.2321 22-Dec-2017
1025.0249 1014.7747 1025.0249 8-Sep-2017
2592.9551 2567.0255 2592.9551 8-Sep-2017
37.7861 37.4082 37.7861 22-Dec-2017
13.2303 13.098 13.2303 22-Dec-2017
14.2311 14.0888 14.2311 22-Dec-2017
12.4727 12.348 12.4727 22-Dec-2017
13.6874 13.5505 13.6874 22-Dec-2017
36.5385 36.1731 36.5385 22-Dec-2017
1004.2306 1004.2306 1004.2306 22-Dec-2017
1077.5598 1077.5598 1077.5598 22-Dec-2017
2343.1115 2343.1115 2343.1115 22-Dec-2017
1047.1018 1047.1018 1047.1018 22-Dec-2017
1004.2374 1004.2374 1004.2374 22-Dec-2017
1004.2306 1004.2306 1004.2306 22-Dec-2017
2275.4441 2275.4441 2275.4441 22-Dec-2017
1043.6268 1043.6268 1043.6268 22-Dec-2017
1004.2165 1004.2165 1004.2165 22-Dec-2017
1071.118 1071.118 1071.118 22-Dec-2017
1004.2306 1004.2306 1004.2306 8-Sep-2017
2338.6331 2338.6331 2338.6331 8-Sep-2017
11.9546 11.9546 11.9546 22-Dec-2017
30.045 30.045 30.045 22-Dec-2017
11.2843 11.2843 11.2843 22-Dec-2017
10.1554 10.1554 10.1554 22-Dec-2017
10.1523 10.1523 10.1523 22-Dec-2017
29.0506 29.0506 29.0506 22-Dec-2017
11.2443 11.2443 11.2443 22-Dec-2017
11.9584 11.9584 11.9584 22-Dec-2017
1033.337 1033.337 1033.337 22-Dec-2017
1388.3628 1388.3628 1388.3628 22-Dec-2017
2037.7486 2037.7486 2037.7486 22-Dec-2017
1037.8154 1037.8154 1037.8154 22-Dec-2017
1040.1952 1040.1952 1040.1952 22-Dec-2017
1051.6949 1051.6949 1051.6949 22-Dec-2017
1190.0924 1190.0924 1190.0924 22-Dec-2017
2001.8874 2001.8874 2001.8874 22-Dec-2017
1031.0957 1031.0957 1031.0957 22-Dec-2017
1039.1354 1039.1354 1039.1354 22-Dec-2017
1055.1783 1055.1783 1055.1783 8-Sep-2017
1390.1205 1390.1205 1390.1205 8-Sep-2017
2217.5358 2217.5358 2217.5358 8-Sep-2017
1046.8886 1046.8886 1046.8886 8-Sep-2017
1055.1782 1055.1782 1055.1782 8-Sep-2017
10.0686 10.0686 10.0686 22-Dec-2017
12.4937 12.4937 12.4937 22-Dec-2017
11.3506 11.3506 11.3506 22-Dec-2017
10.2646 10.2646 10.2646 22-Dec-2017
10.0602 10.0602 10.0602 22-Dec-2017
10.0809 10.0809 10.0809 22-Dec-2017
12.373 12.373 12.373 22-Dec-2017
10.2614 10.2614 10.2614 22-Dec-2017
10.2497 10.2497 10.2497 22-Dec-2017
10.0609 10.0609 10.0609 22-Dec-2017
14.3001 14.3001 14.3001 22-Dec-2017
10.3429 10.3429 10.3429 22-Dec-2017
10.9629 10.9629 10.9629 22-Dec-2017
14.1199 14.1199 14.1199 22-Dec-2017
14.1203 14.1203 14.1203 22-Dec-2017
10.3276 10.3276 10.3276 22-Dec-2017
10.4566 10.4566 10.4566 22-Dec-2017
17.4036 17.4036 17.4036 22-Dec-2017
18.6612 18.6612 18.6612 22-Dec-2017
15.2361 15.2361 15.2361 22-Dec-2017
15.2627 15.2627 15.2627 22-Dec-2017
16.7736 16.7736 16.7736 22-Dec-2017
17.8334 17.8334 17.8334 22-Dec-2017
13.3755 13.2417 13.3755 22-Dec-2017
13.3762 13.2424 13.3762 22-Dec-2017
13.1721 13.0404 13.1721 22-Dec-2017
13.1743 13.0426 13.1743 22-Dec-2017
10.5552 10.4496 10.5552 18-Dec-2017
13.172 13.0403 13.172 22-Dec-2017
10.4861 10.3812 10.4861 22-Dec-2017
10.5706 10.4649 10.5706 22-Dec-2017
15.6463 15.6463 15.6463 22-Dec-2017
9.9842 9.9842 9.9842 22-Dec-2017
12.4128 12.4128 12.4128 22-Dec-2017
9.9393 9.9393 9.9393 22-Dec-2017
15.4092 15.4092 15.4092 22-Dec-2017
9.8867 9.8867 9.8867 22-Dec-2017
9.8912 9.8912 9.8912 22-Dec-2017
1008.25 1008.25 1008.25 22-Dec-2017
2057.6565 2057.6565 2057.6565 22-Dec-2017
2058.5049 2058.5049 2058.5049 22-Dec-2017
2058.4666 2058.4666 2058.4666 22-Dec-2017
1046.4675 1046.4675 1046.4675 22-Dec-2017
1000.89 1000.89 1000.89 22-Dec-2017
1379.0932 1379.0932 1379.0932 22-Dec-2017
2025.3906 2025.3906 2025.3906 22-Dec-2017
2037.3973 2037.3973 2037.3973 22-Dec-2017
1007.2528 1007.2528 1007.2528 22-Dec-2017
1006.3927 1006.3927 1006.3927 22-Dec-2017
1003.5835 1003.5835 1003.5835 22-Dec-2017
1825.8033 1825.8033 1825.8033 22-Dec-2017
1036.0393 1036.0393 1036.0393 22-Dec-2017
1007.1498 1007.1498 1007.1498 22-Dec-2017

40.868 40.4593 40.868 22-Dec-2017


41.2575 40.8449 41.2575 22-Dec-2017
51.1479 50.6364 51.1479 22-Dec-2017
51.5884 51.0725 51.5884 22-Dec-2017
29.3549 29.0614 29.3549 22-Dec-2017
29.3549 29.0614 29.3549 22-Dec-2017
10.7844 10.6766 10.7844 22-Dec-2017
10.8992 10.7902 10.8992 22-Dec-2017
55.812 55.2539 55.812 22-Dec-2017
56.2973 55.7343 56.2973 22-Dec-2017

16.2464 16.2464 16.2464 22-Dec-2017


15.9516 15.9516 15.9516 22-Dec-2017
17.8756 17.8756 17.8756 22-Dec-2017
16.8243 16.8243 16.8243 22-Dec-2017
15.3514 15.3514 15.3514 22-Dec-2017
16.8221 16.8221 16.8221 22-Dec-2017
13.8102 13.8102 13.8102 22-Dec-2017
12.8093 12.8093 12.8093 22-Dec-2017
14.7095 14.7095 14.7095 22-Dec-2017
13.3272 13.3272 13.3272 22-Dec-2017
13.9559 13.9559 13.9559 22-Dec-2017
13.9746 13.9746 13.9746 22-Dec-2017
19.331 19.331 19.331 22-Dec-2017
11.2349 11.2349 11.2349 22-Dec-2017
12.2095 12.2095 12.2095 22-Dec-2017
10.4072 10.4072 10.4072 22-Dec-2017
11.3062 11.3062 11.3062 22-Dec-2017
18.0091 18.0091 18.0091 22-Dec-2017
13.9092 13.9092 13.9092 22-Dec-2017
19.4171 19.4171 19.4171 22-Dec-2017
10.8203 10.8203 10.8203 22-Dec-2017
11.3222 11.3222 11.3222 22-Dec-2017
19.384 19.384 19.384 22-Dec-2017
10.397 10.397 10.397 22-Dec-2017
10.8096 10.8096 10.8096 22-Dec-2017
18.5579 18.5579 18.5579 22-Dec-2017
1006.65 1006.65 1006.65 22-Dec-2017
1021.2743 1021.2743 1021.2743 22-Dec-2017
1004.2573 1004.2573 1004.2573 22-Dec-2017
1906.2399 1906.2399 1906.2399 22-Dec-2017
1005.4571 1005.4571 1005.4571 22-Dec-2017
1003.7994 1003.7994 1003.7994 22-Dec-2017
1003.4913 1003.4913 1003.4913 22-Dec-2017
1855.5539 1855.5539 1855.5539 22-Dec-2017

10.6406 10.6406 10.6406 22-Dec-2017


13.7072 13.7072 13.7072 22-Dec-2017
10.4344 10.4344 10.4344 22-Dec-2017
13.461 13.461 13.461 22-Dec-2017
11.7074 11.3562 11.7074 22-Dec-2017
18.412 17.8596 18.412 22-Dec-2017
11.1061 10.7729 11.1061 22-Dec-2017
17.6644 17.1345 17.6644 22-Dec-2017
12.3657 11.9947 12.3657 22-Dec-2017
62.4403 60.5671 62.4403 22-Dec-2017
11.7939 11.4401 11.7939 22-Dec-2017
60.0802 58.2778 60.0802 22-Dec-2017
19.0517 18.9564 19.0517 22-Dec-2017
0 0 0 8-May-2015
62.2645 61.9532 62.2645 22-Dec-2017
14.9453 14.8706 14.9453 22-Dec-2017
16.6721 16.5887 16.6721 22-Dec-2017
14.0763 14.0059 14.0763 22-Dec-2017
18.1629 18.0721 18.1629 22-Dec-2017
59.9491 59.6494 59.9491 22-Dec-2017
14.0185 13.9484 14.0185 22-Dec-2017
15.8976 15.8181 15.8976 22-Dec-2017
0 0 0 8-Jun-2015
13.4043 13.3373 13.4043 22-Dec-2017
11.4803 11.1359 11.4803 22-Dec-2017
21.0096 20.3793 21.0096 22-Dec-2017
10.9969 10.667 10.9969 22-Dec-2017
20.2008 19.5948 20.2008 22-Dec-2017
19.8325 19.7333 19.8325 22-Dec-2017
10.7041 10.6506 10.7041 22-Dec-2017
10.4796 10.4272 10.4796 22-Dec-2017
19.5358 19.4381 19.5358 22-Dec-2017
10.5006 10.4481 10.5006 22-Dec-2017
10.2748 10.2234 10.2748 22-Dec-2017
0 0 0 8-Jun-2015
55.04 54.4896 55.04 22-Dec-2017
14.6765 14.5297 14.6765 22-Dec-2017
14.1175 13.9763 14.1175 22-Dec-2017
53.0201 52.4899 53.0201 22-Dec-2017
0 0 0 8-Jun-2015
14.043 13.9026 14.043 22-Dec-2017
13.5075 13.3724 13.5075 22-Dec-2017
20.1956 20.1956 20.1956 22-Dec-2017
126.0859 126.0859 126.0859 22-Dec-2017
19.4821 19.4821 19.4821 22-Dec-2017
121.8713 121.8713 121.8713 22-Dec-2017
3732.2509 3713.5896 3732.2509 22-Dec-2017
1306.1192 1299.5886 1306.1192 22-Dec-2017
1266.2531 1259.9218 1266.2531 22-Dec-2017
1097.3011 1091.8146 1097.3011 22-Dec-2017
3589.7327 3571.784 3589.7327 22-Dec-2017
2949.2776 2934.5312 2949.2776 22-Dec-2017
1306.3353 1299.8036 1306.3353 22-Dec-2017
1211.6423 1205.5841 1211.6423 22-Dec-2017
1247.974 1241.7341 1247.974 22-Dec-2017
0 0 0 8-Jun-2015
1094.5917 1089.1187 1094.5917 22-Dec-2017
23.6278 23.6278 23.6278 22-Dec-2017
10.0947 10.0947 10.0947 22-Dec-2017
10.0661 10.0661 10.0661 22-Dec-2017
9.998 9.998 9.998 22-Dec-2017
22.8971 22.8971 22.8971 22-Dec-2017
0 0 0 1-Sep-2015
10.0561 10.0561 10.0561 22-Dec-2017
22.4438 22.4438 22.4438 22-Dec-2017
10.129 10.129 10.129 22-Dec-2017
10.0838 10.0838 10.0838 22-Dec-2017
23.5464 23.5464 23.5464 22-Dec-2017
10.1021 10.1021 10.1021 22-Dec-2017

10.2793 10.2793 10.2793 22-Dec-2017


13.9491 13.9491 13.9491 22-Dec-2017
10.214 10.214 10.214 22-Dec-2017
13.8376 13.8376 13.8376 22-Dec-2017
10.1368 10.1368 10.1368 22-Dec-2017
10.1542 10.1542 10.1542 22-Dec-2017
10.1519 10.1519 10.1519 22-Dec-2017
37.8996 37.8996 37.8996 22-Dec-2017
10.1785 10.1785 10.1785 22-Dec-2017
10.155 10.155 10.155 22-Dec-2017
35.9512 35.9512 35.9512 22-Dec-2017
10.1529 10.1529 10.1529 22-Dec-2017
10.0601 10.0601 10.0601 22-Dec-2017
37.2468 37.2468 37.2468 22-Dec-2017
10.1613 10.1613 10.1613 22-Dec-2017
10.1831 10.1831 10.1831 22-Dec-2017
14.6527 14.5062 14.6527 22-Dec-2017
10.857 10.7484 10.857 22-Dec-2017
12.8442 12.7158 12.8442 22-Dec-2017
14.1713 14.0296 14.1713 22-Dec-2017
10.5347 10.4294 10.5347 22-Dec-2017
13.0486 12.9181 13.0486 22-Dec-2017
10.0764 10.0764 10.0764 22-Dec-2017
10.1633 10.1633 10.1633 22-Dec-2017
10.1319 10.1319 10.1319 22-Dec-2017
28.7658 28.7658 28.7658 22-Dec-2017
10.0767 10.0767 10.0767 22-Dec-2017
29.7774 29.7774 29.7774 22-Dec-2017
10.1657 10.1657 10.1657 22-Dec-2017
10.1324 10.1324 10.1324 22-Dec-2017
10.0766 10.0766 10.0766 22-Dec-2017
10.1647 10.1647 10.1647 22-Dec-2017
10.1322 10.1322 10.1322 22-Dec-2017
29.6535 29.6535 29.6535 22-Dec-2017
12.7857 12.7218 12.7857 22-Dec-2017
11.3973 11.3403 11.3973 22-Dec-2017
12.5125 12.4499 12.5125 22-Dec-2017
60.7237 60.4201 60.7237 22-Dec-2017
12.3383 12.2766 12.3383 22-Dec-2017
12.4352 12.373 12.4352 22-Dec-2017
13.6348 13.5666 13.6348 22-Dec-2017
11.9446 11.8849 11.9446 22-Dec-2017
13.091 13.0255 13.091 22-Dec-2017
58.4074 58.1154 58.4074 22-Dec-2017
10.599 10.599 10.599 22-Dec-2017
34.976 34.976 34.976 22-Dec-2017
13.0949 13.0949 13.0949 22-Dec-2017
12.9346 12.9346 12.9346 22-Dec-2017
10.5643 10.5643 10.5643 22-Dec-2017
34.0907 34.0907 34.0907 22-Dec-2017
12.5875 12.5875 12.5875 22-Dec-2017
12.0424 12.0424 12.0424 22-Dec-2017
39.8022 39.8022 39.8022 22-Dec-2017
11.4641 11.4641 11.4641 22-Dec-2017
10.9601 10.9601 10.9601 22-Dec-2017
38.1902 38.1902 38.1902 22-Dec-2017
18.9862 18.9862 18.9862 22-Dec-2017
10.2892 10.2892 10.2892 22-Dec-2017
13.0901 13.0901 13.0901 22-Dec-2017
12.9134 12.9134 12.9134 22-Dec-2017
19.0739 19.0739 19.0739 22-Dec-2017
10.3701 10.3701 10.3701 22-Dec-2017
45.5782 45.1224 45.5782 22-Dec-2017
15.0565 14.9059 15.0565 22-Dec-2017
15.8838 15.725 15.8838 22-Dec-2017
32.0519 31.7314 32.0519 22-Dec-2017
12.7886 12.6607 12.7886 22-Dec-2017
12.7371 12.6097 12.7371 22-Dec-2017
44.4586 44.014 44.4586 22-Dec-2017
14.6041 14.4581 14.6041 22-Dec-2017
15.4094 15.2553 15.4094 22-Dec-2017
30.8248 30.5166 30.8248 22-Dec-2017
11.7431 11.6257 11.7431 22-Dec-2017
12.1615 12.0399 12.1615 22-Dec-2017
12.2367 12.1143 12.2367 22-Dec-2017
31.2308 30.9185 31.2308 22-Dec-2017
13.184 13.0522 13.184 22-Dec-2017
32.1451 31.8236 32.1451 22-Dec-2017
13.1756 13.0768 13.1756 22-Dec-2017
13.0952 12.997 13.0952 22-Dec-2017
34.587 34.3276 34.587 22-Dec-2017
10.3344 10.2569 10.3344 22-Dec-2017
33.8583 33.6044 33.8583 22-Dec-2017
10.3629 10.2852 10.3629 22-Dec-2017
13.0614 12.9308 13.0614 22-Dec-2017
12.6736 12.5469 12.6736 22-Dec-2017
12.6568 12.6568 12.6568 22-Dec-2017
12.6768 12.6768 12.6768 22-Dec-2017
10.2054 10.2054 10.2054 22-Dec-2017
18.8242 18.8242 18.8242 22-Dec-2017
10.2658 10.2658 10.2658 22-Dec-2017
18.9627 18.9627 18.9627 22-Dec-2017

10.0679 10.0679 10.0679 7-Jan-2016


23.5459 23.5459 23.5459 22-Dec-2017
11.5136 11.5136 11.5136 22-Dec-2017
10.995 10.995 10.995 22-Dec-2017
9.9416 9.9416 9.9416 22-Dec-2017
11.3932 11.3932 11.3932 22-Dec-2017
11.8807 11.8807 11.8807 22-Dec-2017
15.5498 15.5498 15.5498 22-Dec-2017
10.4547 10.4547 10.4547 22-Dec-2017
22.6665 22.6665 22.6665 22-Dec-2017
10.4441 10.4441 10.4441 22-Dec-2017
21.9838 21.9838 21.9838 22-Dec-2017
13.9009 13.9009 13.9009 22-Dec-2017
14.1512 14.1512 14.1512 22-Dec-2017
13.4121 13.4121 13.4121 22-Dec-2017
10.7553 10.7553 10.7553 22-Dec-2017
27.6233 27.6233 27.6233 22-Dec-2017
10 10 10 10-May-2013
10 10 10 10-May-2013
28.7192 28.7192 28.7192 22-Dec-2017
11.1277 11.1277 11.1277 22-Dec-2017
10.1763 10.1763 10.1763 22-Dec-2017
27.979 27.979 27.979 22-Dec-2017
11.9407 11.9407 11.9407 30-Jul-2015
13.3024 13.3024 13.3024 22-Dec-2017
17.9603 17.9603 17.9603 3-Nov-2014
16.0261 16.0261 16.0261 27-Apr-2017
10 10 10 10-May-2013
10.5458 10.5458 10.5458 28-Nov-2016
11.8095 11.8095 11.8095 22-Dec-2017
29.2308 29.2308 29.2308 22-Dec-2017
10.294 10.294 10.294 22-Dec-2017
9.9852 9.9852 9.9852 22-Dec-2017
10.2045 10.2045 10.2045 22-Dec-2017
13.4545 13.4545 13.4545 22-Dec-2017
13.3291 13.3291 13.3291 22-Dec-2017
35.5223 35.5223 35.5223 22-Dec-2017
36.4838 36.4838 36.4838 22-Dec-2017
16.5446 16.5446 16.5446 22-Dec-2017
14.421 14.421 14.421 22-Dec-2017
10.1478 10.1478 10.1478 22-Dec-2017
14.9931 14.9931 14.9931 22-Dec-2017
16.9668 16.9668 16.9668 22-Dec-2017
9.9969 9.9969 9.9969 22-Dec-2017
9.9989 9.9989 9.9989 22-Dec-2017
21.7406 21.7406 21.7406 22-Dec-2017
10.0799 10.0799 10.0799 22-Dec-2017
10.0474 10.0474 10.0474 22-Dec-2017
15.5247 15.5247 15.5247 22-Dec-2017
10 10 10 10-May-2013
10 10 10 10-May-2013
10.2003 10.2003 10.2003 19-Aug-2015
10.3568 10.3568 10.3568 22-Dec-2017
10.096 10.096 10.096 22-Dec-2017
10.0454 10.0454 10.0454 22-Dec-2017

10.0368 10.0368 10.0368 22-Dec-2017


10.2234 10.2234 10.2234 22-Dec-2017
13.4469 13.4469 13.4469 22-Dec-2017
10.3348 10.3348 10.3348 22-Dec-2017
19.8191 19.8191 19.8191 22-Dec-2017
11.9249 11.9249 11.9249 22-Dec-2017
10.3538 10.3538 10.3538 22-Dec-2017
13.5577 13.5577 13.5577 22-Dec-2017
12.4867 12.4867 12.4867 22-Dec-2017
19.6034 19.6034 19.6034 22-Dec-2017
10.4649 10.4649 10.4649 22-Dec-2017
12.3572 12.3572 12.3572 22-Dec-2017
10.0233 10.0233 10.0233 22-Dec-2017
18.4824 18.4824 18.4824 22-Dec-2017
10.3305 10.3047 10.3305 20-Aug-2015
15.0425 14.9673 15.0425 7-Oct-2016
23.9631 23.8433 23.9631 7-Oct-2016
10.266 10.2147 10.266 7-Oct-2016
12.4926 12.4301 12.4926 7-Oct-2016
17.7362 17.6475 17.7362 7-Oct-2016
24.0808 23.9604 24.0808 7-Oct-2016
10.3063 10.2548 10.3063 7-Oct-2016
10.0227 N.A. N.A. 26-Sep-2014
10.7 10.6465 10.7 7-Oct-2016
10.3661 10.3143 10.3661 7-Oct-2016
11.9703 11.9104 11.9703 7-Oct-2016
12.032 11.9718 12.032 7-Oct-2016
69.477 67.3927 69.477 22-Dec-2017
72.0981 69.9352 72.0981 22-Dec-2017
10.9661 10.8564 10.9661 22-Dec-2017
12.7934 12.6655 12.7934 22-Dec-2017
27.7088 27.4317 27.7088 22-Dec-2017
11.0243 10.9141 11.0243 22-Dec-2017
11.0665 10.9558 11.0665 22-Dec-2017
13.5661 13.4304 13.5661 22-Dec-2017
26.5489 26.2834 26.5489 22-Dec-2017
10.5814 10.4756 10.5814 22-Dec-2017
10.5366 10.4312 10.5366 22-Dec-2017
11.7487 11.6312 11.7487 22-Dec-2017
10.0458 10.0458 10.0458 17-Feb-2012
10.5157 10.4105 10.5157 22-Dec-2017
10.4293 10.325 10.4293 22-Dec-2017
10.4491 10.3446 10.4491 28-Jan-2016
27.411 27.1369 27.411 22-Dec-2017
10.547 10.4415 10.547 22-Dec-2017
19.5108 19.3157 19.5108 22-Dec-2017
10.0128 9.9127 10.0128 22-Dec-2017
10.5808 10.475 10.5808 22-Dec-2017
20.1582 19.9566 20.1582 22-Dec-2017
10.0795 9.9787 10.0795 22-Dec-2017
10.3651 10.2614 10.3651 22-Dec-2017
10.4777 10.3729 10.4777 22-Dec-2017
19.9658 19.7661 19.9658 22-Dec-2017
10.341 10.2376 10.341 22-Dec-2017
19.5109 19.3158 19.5109 22-Dec-2017
10.1413 10.0399 10.1413 22-Dec-2017
10.8612 10.7526 10.8612 22-Dec-2017
20.4378 20.2334 20.4378 22-Dec-2017
10.3089 10.2058 10.3089 22-Dec-2017
105.702 105.702 105.702 22-Dec-2017
105.7031 105.7031 105.7031 22-Dec-2017
131.4152 131.4152 131.4152 22-Dec-2017
328.3701 328.3701 328.3701 22-Dec-2017
105.4644 105.4644 105.4644 22-Dec-2017
101.4891 101.4891 101.4891 22-Dec-2017
101.3851 101.3851 101.3851 22-Dec-2017
104.6939 104.6939 104.6939 22-Dec-2017
101.0228 101.0228 101.0228 22-Dec-2017
326.7631 326.7631 326.7631 22-Dec-2017
101.5926 101.5926 101.5926 22-Dec-2017
104.548 104.548 104.548 22-Dec-2017
105.4165 105.4165 105.4165 22-Dec-2017
130.364 130.364 130.364 22-Dec-2017
123.8923 123.8923 123.8923 15-Mar-2017
130.5655 130.5655 130.5655 22-Dec-2017
100.3318 100.3318 100.3318 22-Dec-2017
188.2736 188.2736 188.2736 22-Dec-2017
100.9302 100.9302 100.9302 22-Dec-2017
12.4032 12.2792 12.4032 22-Dec-2017
24.3963 24.1523 24.3963 22-Dec-2017
11.4674 11.3527 11.4674 22-Dec-2017
11.2207 11.1085 11.2207 22-Dec-2017
10.5262 10.4209 10.5262 22-Dec-2017
11.3588 11.2452 11.3588 22-Dec-2017
10.8921 10.7832 10.8921 22-Dec-2017
23.9606 23.721 23.9606 22-Dec-2017
10.8542 10.7457 10.8542 22-Dec-2017
20.96 20.7504 20.96 22-Dec-2017
10.6013 10.4953 10.6013 22-Dec-2017
11.2952 11.1822 11.2952 22-Dec-2017
54.2239 54.0883 54.2239 22-Dec-2017
11.673 11.6438 11.673 22-Dec-2017
10.3661 10.3402 10.3661 22-Dec-2017
54.2242 54.0886 54.2242 22-Dec-2017
56.8899 56.7477 56.8899 22-Dec-2017
11.4933 11.4646 11.4933 22-Dec-2017
11.996 11.966 11.996 22-Dec-2017
10.831 10.8039 10.831 22-Dec-2017
11.3697 11.3413 11.3697 22-Dec-2017
11.0705 11.0428 11.0705 22-Dec-2017
11.3256 11.2973 11.3256 22-Dec-2017
58.3587 58.2128 58.3587 22-Dec-2017
10.7894 N.A. N.A. 26-Sep-2017
22.5035 N.A. N.A. 26-Sep-2017
12.628 N.A. N.A. 26-Sep-2017
17.983 N.A. N.A. 26-Sep-2017
N.A. N.A. N.A. 9-Jan-2013
18.0131 N.A. N.A. 26-Sep-2017
10.8172 N.A. N.A. 26-Sep-2017
11.9883 N.A. N.A. 14-Nov-2017
22.6497 N.A. N.A. 14-Nov-2017
23.4449 N.A. N.A. 14-Nov-2017
11.8549 N.A. N.A. 21-Oct-2013
23.3622 N.A. N.A. 14-Nov-2017
11.7874 N.A. N.A. 21-Nov-2017
21.8977 N.A. N.A. 21-Nov-2017
17.7978 N.A. N.A. 21-Nov-2017
10.8352 N.A. N.A. 29-Oct-2013
17.7495 N.A. N.A. 21-Nov-2017
11.6845 N.A. N.A. 5-Dec-2017
21.7637 N.A. N.A. 5-Dec-2017
11.7708 N.A. N.A. 17-Nov-2014
20.4818 N.A. N.A. 5-Dec-2017
20.4088 N.A. N.A. 5-Dec-2017
10.0016 N.A. N.A. 29-Aug-2017
21.1844 N.A. N.A. 29-Aug-2017
10.0692 N.A. N.A. 30-Jun-2014
13.4735 N.A. N.A. 29-Aug-2017
10.0015 N.A. N.A. 29-Aug-2017
13.4637 N.A. N.A. 29-Aug-2017
10.0025 N.A. N.A. 20-Sep-2017
21.9999 N.A. N.A. 20-Sep-2017
10.0022 N.A. N.A. 4-Sep-2014
17.6211 N.A. N.A. 20-Sep-2017
10.0017 N.A. N.A. 20-Sep-2017
17.5944 N.A. N.A. 20-Sep-2017
10.0017 N.A. N.A. 20-Sep-2017
10.0023 N.A. N.A. 4-Jun-2014
10.0271 N.A. N.A. 24-Oct-2017
22.0296 N.A. N.A. 24-Oct-2017
20.0513 N.A. N.A. 24-Oct-2017
10.0013 N.A. N.A. 24-Oct-2017
19.9985 N.A. N.A. 24-Oct-2017
10.0085 N.A. N.A. 28-Aug-2017
10.0083 N.A. N.A. 28-Aug-2017
20.7912 N.A. N.A. 28-Aug-2017
10.1854 N.A. N.A. 28-Aug-2017
17.5014 N.A. N.A. 28-Aug-2017
10.0061 N.A. N.A. 22-Feb-2017
17.4312 N.A. N.A. 28-Aug-2017
13.9619 N.A. N.A. 15-Mar-2017
13.9796 N.A. N.A. 15-Mar-2017
10.9291 N.A. N.A. 25-Feb-2014
14.659 N.A. N.A. 22-Dec-2017
14.7076 N.A. N.A. 22-Dec-2017
14.6248 N.A. N.A. 22-Dec-2017
14.661 N.A. N.A. 22-Dec-2017
10.441 N.A. N.A. 23-Mar-2015
13.5966 N.A. N.A. 22-Dec-2017
13.6161 N.A. N.A. 22-Dec-2017
10.8654 N.A. N.A. 29-Feb-2016
10.2479 N.A. N.A. 15-May-2014
10.0016 N.A. N.A. 5-Sep-2017
21.1917 N.A. N.A. 5-Sep-2017
10.0015 N.A. N.A. 5-Sep-2017
10.0016 N.A. N.A. 5-Sep-2017
13.6172 N.A. N.A. 5-Sep-2017
10.0017 N.A. N.A. 5-Sep-2017
13.6425 N.A. N.A. 5-Sep-2017
10.224 N.A. N.A. 19-Aug-2014
10.0124 N.A. N.A. 14-Sep-2017
20.9682 N.A. N.A. 14-Sep-2017
10.0051 N.A. N.A. 14-Sep-2017
14.1819 N.A. N.A. 14-Sep-2017
10.0016 N.A. N.A. 14-Sep-2017
14.2363 N.A. N.A. 14-Sep-2017
10.0016 N.A. N.A. 14-Sep-2017
10.0038 N.A. N.A. 25-Sep-2017
22.1759 N.A. N.A. 25-Sep-2017
10.0016 N.A. N.A. 23-Mar-2017
14.0323 N.A. N.A. 25-Sep-2017
10.2204 N.A. N.A. 11-Dec-2014
10.0039 N.A. N.A. 25-Sep-2017
13.9772 N.A. N.A. 25-Sep-2017
10.2061 N.A. N.A. 4-Mar-2013
10.0799 N.A. N.A. 9-Oct-2017
22.795 N.A. N.A. 9-Oct-2017
10.0051 N.A. N.A. 9-Oct-2017
10.1535 N.A. N.A. 3-Oct-2016
17.7073 N.A. N.A. 9-Oct-2017
10.005 N.A. N.A. 9-Oct-2017
13.469 N.A. N.A. 9-Oct-2017
10.2309 N.A. N.A. 11-Sep-2012
10.0742 N.A. N.A. 16-Aug-2017
20.25 N.A. N.A. 16-Aug-2017
10.0168 N.A. N.A. 31-Jul-2014
17.7138 N.A. N.A. 16-Aug-2017
10.0095 N.A. N.A. 20-Jan-2014
10.1825 N.A. N.A. 9-Feb-2017
17.716 N.A. N.A. 16-Aug-2017
10.0046 N.A. N.A. 16-Aug-2017
10.0009 N.A. N.A. 27-Oct-2017
19.7164 N.A. N.A. 27-Oct-2017
10.001 N.A. N.A. 27-Oct-2017
18.1794 N.A. N.A. 27-Oct-2017
10.2084 N.A. N.A. 15-Apr-2015
18.1012 N.A. N.A. 27-Oct-2017
10.1688 N.A. N.A. 20-Apr-2016
10.234 N.A. N.A. 20-Sep-2012
10.0033 N.A. N.A. 16-Aug-2017
20.0008 N.A. N.A. 16-Aug-2017
10.0033 N.A. N.A. 16-Aug-2017
13.9183 N.A. N.A. 16-Aug-2017
10.0033 N.A. N.A. 16-Aug-2017
13.8735 N.A. N.A. 16-Aug-2017
10.8736 10.8464 10.8736 22-Dec-2017
10.8481 10.821 10.8481 22-Dec-2017
15.1976 15.1596 15.1976 22-Dec-2017
21.7785 21.7241 21.7785 22-Dec-2017
11.1979 11.1699 11.1979 22-Dec-2017
14.3353 14.2995 14.3353 22-Dec-2017
21.287 21.2338 21.287 22-Dec-2017
10.9657 10.9383 10.9657 22-Dec-2017
13.9907 13.9557 13.9907 22-Dec-2017
10.4767 10.4505 10.4767 22-Dec-2017
14.4314 14.3953 14.4314 22-Dec-2017
21.1449 21.092 21.1449 22-Dec-2017
10.7044 10.6776 10.7044 22-Dec-2017
10.8538 10.6367 10.8538 21-Aug-2013
40.4949 40.3937 40.4949 22-Dec-2017
11.1165 11.0887 11.1165 22-Dec-2017
13.4603 13.3257 13.4603 22-Dec-2017
12.9465 12.817 12.9465 22-Dec-2017
13.907 13.7679 13.907 22-Dec-2017
48.8333 48.345 48.8333 22-Dec-2017
13.4558 13.3212 13.4558 22-Dec-2017
12.6588 12.5322 12.6588 22-Dec-2017
12.5452 12.4197 12.5452 22-Dec-2017
13.5702 13.4345 13.5702 22-Dec-2017
47.3492 46.8757 47.3492 22-Dec-2017
39.4805 39.0857 39.4805 22-Dec-2017
12.4041 12.2801 12.4041 22-Dec-2017
14.2228 14.0806 14.2228 22-Dec-2017
11.6795 11.5627 11.6795 22-Dec-2017
16.4889 16.324 16.4889 22-Dec-2017
41.0301 40.6198 41.0301 22-Dec-2017
15.7427 15.5853 15.7427 22-Dec-2017
15.6823 15.5255 15.6823 22-Dec-2017
14.007 13.8669 14.007 22-Dec-2017
41.0232 40.613 41.0232 22-Dec-2017
17.8773 17.7879 17.8773 22-Dec-2017
10.8214 10.7673 10.8214 22-Dec-2017
10.74 10.6863 10.74 22-Dec-2017
10.8456 10.7914 10.8456 22-Dec-2017
13.3552 13.2884 13.3552 22-Dec-2017
17.179 17.0931 17.179 22-Dec-2017
10.6715 10.6181 10.6715 22-Dec-2017
10.6652 10.6119 10.6652 22-Dec-2017
10.6649 10.6116 10.6649 22-Dec-2017
13.2009 13.0689 13.2009 22-Dec-2017
13.5463 13.4108 13.5463 22-Dec-2017
10.5997 10.4937 10.5997 22-Dec-2017
19.0406 18.8502 19.0406 22-Dec-2017
10.7489 10.6414 10.7489 22-Dec-2017
11.0949 10.984 11.0949 22-Dec-2017
10.9014 10.7924 10.9014 22-Dec-2017
18.2063 18.0242 18.2063 22-Dec-2017
10.3955 10.2915 10.3955 22-Dec-2017
10.4999 10.3949 10.4999 22-Dec-2017
129.02 129.02 129.02 22-Dec-2017
100.798 100.798 100.798 22-Dec-2017
100.0999 100.0999 100.0999 22-Dec-2017
129.8726 129.8726 129.8726 22-Dec-2017
101.2485 101.2485 101.2485 22-Dec-2017
264.6477 264.6477 264.6477 22-Dec-2017
101.5551 101.5551 101.5551 22-Dec-2017
104.9013 104.9013 104.9013 22-Dec-2017
101.188 101.188 101.188 22-Dec-2017
129.0039 129.0039 129.0039 22-Dec-2017
101.2316 101.2316 101.2316 22-Dec-2017
255.4791 255.4791 255.4791 22-Dec-2017
102.5961 102.5961 102.5961 22-Dec-2017
103.7487 103.7487 103.7487 22-Dec-2017
101.2705 101.2705 101.2705 22-Dec-2017
100.0896 100.0896 100.0896 22-Dec-2017
101.2228 101.2228 101.2228 22-Dec-2017
256.0482 256.0482 256.0482 22-Dec-2017
101.1735 101.1735 101.1735 22-Dec-2017
100.0895 100.0895 100.0895 22-Dec-2017
101.2232 101.2232 101.2232 22-Dec-2017
276.47 276.47 276.47 22-Dec-2017
101.1735 101.1735 101.1735 22-Dec-2017
100.0901 100.0901 100.0901 22-Dec-2017
101.2228 101.2228 101.2228 22-Dec-2017
218.1632 218.1632 218.1632 15-Jun-2015
101.3043 101.3043 101.3043 15-Feb-2017
35.5977 35.5087 35.5977 22-Dec-2017
36.7741 36.6822 36.7741 22-Dec-2017
12.7612 12.7293 12.7612 22-Dec-2017
36.7741 36.6822 36.7741 22-Dec-2017
13.4121 13.3786 13.4121 22-Dec-2017
12.655 12.6234 12.655 22-Dec-2017
35.5977 35.5087 35.5977 22-Dec-2017
12.7189 12.6871 12.7189 22-Dec-2017
12.4283 12.3972 12.4283 22-Dec-2017
12.2615 12.2308 12.2615 22-Dec-2017
36.8157 36.7237 36.8157 22-Dec-2017
12.9279 12.8956 12.9279 22-Dec-2017
12.8095 12.7775 12.8095 22-Dec-2017
10.0959 10.0959 10.0959 22-Dec-2017
10.0902 10.0902 10.0902 22-Dec-2017
11.1171 11.1171 11.1171 22-Dec-2017
17.9203 17.9203 17.9203 22-Dec-2017
10.2211 10.2211 10.2211 22-Dec-2017
10.2049 10.2049 10.2049 22-Dec-2017
10.2135 10.2135 10.2135 22-Dec-2017
17.4714 17.4714 17.4714 22-Dec-2017
10.2786 10.2786 10.2786 22-Dec-2017
10.2893 10.2893 10.2893 22-Dec-2017
12.4924 12.4924 12.4924 22-Dec-2017
12.2138 12.2138 12.2138 22-Dec-2017
12.5018 12.5018 12.5018 22-Dec-2017
12.0323 12.0323 12.0323 22-Dec-2017
10.0242 10.0242 10.0242 22-Dec-2017
10.077 10.077 10.077 4-Aug-2015
10.6809 10.6809 10.6809 22-Dec-2017
10.0237 10.0237 10.0237 22-Dec-2017
10.2134 10.2134 10.2134 22-Dec-2017
18.9779 18.9779 18.9779 22-Dec-2017
10.2187 10.2187 10.2187 22-Dec-2017
10.6874 10.6874 10.6874 22-Dec-2017
10.2046 10.2046 10.2046 22-Dec-2017

13.7204 13.446 13.7204 22-Dec-2017


10.902 10.684 10.902 22-Dec-2017
14.0016 13.7216 14.0016 22-Dec-2017
13.5233 13.2528 13.5233 22-Dec-2017
10.6475 10.4346 10.6475 22-Dec-2017
10.4732 10.2637 10.4732 22-Dec-2017
12.0242 11.904 12.0242 22-Dec-2017
10.4467 10.3422 10.4467 22-Dec-2017
14.2621 14.1195 14.2621 22-Dec-2017
14.7613 14.6137 14.7613 22-Dec-2017
12.9315 12.8022 12.9315 22-Dec-2017
10.3681 10.2644 10.3681 22-Dec-2017
15.8451 15.6866 15.8451 22-Dec-2017
16.375 16.2113 16.375 22-Dec-2017
13.4915 13.3566 13.4915 22-Dec-2017
12.0524 11.9319 12.0524 22-Dec-2017
12.618 12.4918 12.618 22-Dec-2017
11.0708 10.9601 11.0708 21-Dec-2017
17.0229 17.0229 17.0229 22-Dec-2017
17.7482 17.7482 17.7482 22-Dec-2017
11.6171 11.6171 11.6171 22-Dec-2017
14.5049 14.5049 14.5049 22-Dec-2017
11.2104 11.2104 11.2104 22-Dec-2017
12.0137 12.0137 12.0137 22-Dec-2017
1839.2524 1839.2524 1839.2524 22-Dec-2017
1788.2447 1788.2447 1788.2447 22-Dec-2017
1016.8068 1016.8068 1016.8068 22-Dec-2017
1031.0711 1031.0711 1031.0711 22-Dec-2017
1788.2161 1788.2161 1788.2161 22-Dec-2017
1840.1164 1840.1164 1840.1164 22-Dec-2017
1063.4854 1063.4854 1063.4854 22-Dec-2017
1375.233 1375.233 1375.233 22-Dec-2017
1049.2225 1049.2225 1049.2225 22-Dec-2017
1054.9827 1054.9827 1054.9827 22-Dec-2017

10.0774 10.0774 10.0774 3-Jul-2008


18.45488727 18.45488727 18.45488727 17-Feb-2017
11.8363 11.8363 11.8363 22-Dec-2017
10.3832 10.3832 10.3832 22-Dec-2017
10.111 10.111 10.111 22-Dec-2017
29.707 29.707 29.707 22-Dec-2017
10.3962 10.3962 10.3962 22-Dec-2017
10.798 10.798 10.798 22-Dec-2017
10.1662 10.1662 10.1662 22-Dec-2017
10.1319 10.1319 10.1319 22-Dec-2017
10.1306 10.1306 10.1306 22-Dec-2017
10.6793 10.6793 10.6793 22-Dec-2017
11.5532 11.5532 11.5532 22-Dec-2017
28.7075 28.7075 28.7075 22-Dec-2017
13.2527 13.2527 13.2527 22-Dec-2017
13.1089 13.1089 13.1089 22-Dec-2017
10.26315789 10.26315789 10.26315789 17-Feb-2017
11.01602858 11.01602858 11.01602858 17-Feb-2017
17.4361738 17.4361738 17.4361738 17-Feb-2017
10.3113 10.3113 10.3113 22-Dec-2017
10.2381 10.2381 10.2381 22-Dec-2017
35.8796 35.8796 35.8796 22-Dec-2017
10.3597 10.3597 10.3597 22-Dec-2017
14.25207048 14.25207048 14.25207048 17-Feb-2017
11.21885202 11.21885202 11.21885202 17-Feb-2017
18.70210837 18.70210837 18.70210837 17-Feb-2017
14.74155325 14.74155325 14.74155325 17-Feb-2017
22.16392015 22.16392015 22.16392015 17-Feb-2017
17.71169997 17.71169997 17.71169997 17-Feb-2017
12.03375677 12.03375677 12.03375677 17-Feb-2017
12.9538 12.9538 12.9538 22-Dec-2017
12.8983 12.8983 12.8983 22-Dec-2017
10.0324 10.0324 10.0324 22-Dec-2017
10.5443 10.5443 10.5443 22-Dec-2017
10.0558 10.0558 10.0558 22-Dec-2017
14.5559 14.5559 14.5559 22-Dec-2017
10.0956 10.0956 10.0956 22-Dec-2017
10.5534 10.5534 10.5534 22-Dec-2017
10.4455 10.4455 10.4455 1-Sep-2017
10.0763 10.0763 10.0763 22-Dec-2017
10.5256 10.5256 10.5256 22-Dec-2017
10.1755 10.1755 10.1755 22-Dec-2017
14.469 14.469 14.469 22-Dec-2017
10.1445 10.1445 10.1445 22-Dec-2017
10.4844 10.4844 10.4844 22-Dec-2017
32.93874685 32.93874685 32.93874685 17-Feb-2017
10.4988 10.4988 10.4988 22-Dec-2017
10.5677 10.5677 10.5677 22-Dec-2017
11.7427 11.7427 11.7427 22-Dec-2017
10.2267 10.2267 10.2267 22-Dec-2017
11.1639 11.1639 11.1639 22-Dec-2017
10.224 10.224 10.224 22-Dec-2017
10.5493 10.5493 10.5493 22-Dec-2017
11.671 11.671 11.671 22-Dec-2017
10.6698 10.6698 10.6698 22-Dec-2017
11.1554 11.1554 11.1554 22-Dec-2017
10.3763 10.3763 10.3763 22-Dec-2017
10.6375 10.6375 10.6375 22-Dec-2017
10.6375 10.6375 10.6375 22-Dec-2017
10.1525 10.1525 10.1525 22-Dec-2017
10.6378 10.6378 10.6378 22-Dec-2017
10.0796 10.0796 10.0796 22-Dec-2017
10.548 10.548 10.548 22-Dec-2017
10.548 10.548 10.548 22-Dec-2017
10.1253 10.1253 10.1253 22-Dec-2017
10.548 10.548 10.548 22-Dec-2017
10.0806 10.0806 10.0806 22-Dec-2017
11.393 11.393 11.393 22-Dec-2017
12.726 12.726 12.726 22-Dec-2017
21.4444 21.4444 21.4444 22-Dec-2017
10.3486 10.3486 10.3486 22-Dec-2017
12.4181 12.4181 12.4181 22-Dec-2017
10.2194 10.2194 10.2194 22-Dec-2017
13.8571 13.8571 13.8571 22-Dec-2017
13.3758 13.3758 13.3758 22-Dec-2017
10.5272 10.5272 10.5272 22-Dec-2017
20.5234 20.5234 20.5234 22-Dec-2017
12.52005835 12.52005835 12.52005835 17-Feb-2017
12.18467214 12.18467214 12.18467214 17-Feb-2017
10.8898 10.8898 10.8898 22-Dec-2017
10.6851 10.6851 10.6851 22-Dec-2017
10.1015 10.1015 10.1015 22-Dec-2017
10.123 10.123 10.123 22-Dec-2017
11.5038 11.5038 11.5038 22-Dec-2017
10.629 10.629 10.629 22-Dec-2017
10.2542 10.2542 10.2542 22-Dec-2017
26.7708 26.7708 26.7708 22-Dec-2017
10.5715 10.5715 10.5715 22-Dec-2017
10.1428 10.1428 10.1428 22-Dec-2017
26.5016 26.5016 26.5016 22-Dec-2017
10.2312 10.2312 10.2312 22-Dec-2017
10.8508 10.8508 10.8508 22-Dec-2017
10.1793 10.1793 10.1793 22-Dec-2017
12.903 12.903 12.903 22-Dec-2017
10.15575151 10.15575151 10.15575151 17-Feb-2017
15.02451794 15.02451794 15.02451794 17-Feb-2017
24.65019577 24.65019577 24.65019577 17-Feb-2017
10.1431 10.1431 10.1431 17-Feb-2017
10.15650887 10.15650887 10.15650887 17-Feb-2017
11.19826933 11.19826933 11.19826933 17-Feb-2017
10.0401 10.0401 10.0401 27-Apr-2010
10.7796 10.7796 10.7796 7-Dec-2011
10.0111 10.0111 10.0111 8-Feb-2011
16.78555859 16.78555859 16.78555859 17-Feb-2017
10.09939997 10.09939997 10.09939997 17-Feb-2017
12.8296 12.8296 12.8296 22-Dec-2017
10.0945 10.0945 10.0945 22-Dec-2017
27.4112 27.4112 27.4112 22-Dec-2017
10.2012 10.2012 10.2012 22-Dec-2017
10.0973 10.0973 10.0973 22-Dec-2017
12.7774 12.7774 12.7774 22-Dec-2017
10.1175 10.1175 10.1175 22-Dec-2017
10.0994 10.0994 10.0994 17-Feb-2017
18.6807 18.6807 18.6807 26-Oct-2016
10.0412 10.0412 10.0412 2-Apr-2013
10.2611 10.2611 10.2611 20-Dec-2012
26.5901 26.5901 26.5901 22-Dec-2017
10.2618 10.2618 10.2618 22-Dec-2017
10.094 10.094 10.094 22-Dec-2017
25.65572883 25.65572883 25.65572883 17-Feb-2017
10.0994 10.0994 10.0994 17-Feb-2017
13.29077613 13.29077613 13.29077613 17-Feb-2017
10.43156851 10.43156851 10.43156851 17-Feb-2017
10.0842 10.0842 10.0842 17-Aug-2012
17.18597989 17.18597989 17.18597989 17-Feb-2017
13.8938 13.8938 13.8938 22-Dec-2017
21.486 21.486 21.486 22-Dec-2017
14.1928 14.1928 14.1928 22-Dec-2017
13.1308 13.1308 13.1308 22-Dec-2017
20.5685 20.5685 20.5685 22-Dec-2017
13.2406 13.2406 13.2406 22-Dec-2017
17.74679287 17.74679287 17.74679287 17-Feb-2017
11.0298209 11.0298209 11.0298209 17-Feb-2017
10.1368 10.1368 10.1368 18-Jun-2013
10.0975 10.0975 10.0975 16-Sep-2013
11.9446 11.9446 11.9446 29-Oct-2013
13.5507 13.5507 13.5507 22-Dec-2017
11.3397 11.3397 11.3397 22-Dec-2017
11.3973 11.3973 11.3973 22-Dec-2017
41.0968 41.0968 41.0968 22-Dec-2017
11.3263 11.3263 11.3263 22-Dec-2017
15.659 15.659 15.659 22-Dec-2017
42.8028 42.8028 42.8028 22-Dec-2017
11.8126 11.8126 11.8126 22-Dec-2017
34.7631 34.7631 34.7631 22-Dec-2017
10.1513 10.1513 10.1513 22-Dec-2017
13.4955 13.4955 13.4955 22-Dec-2017
15.9601 15.9601 15.9601 10-Mar-2016
11.04819712 11.04819712 11.04819712 17-Feb-2017
18.12286297 18.12286297 18.12286297 17-Feb-2017
10.878 10.878 10.878 23-May-2014
14.4284 14.4284 14.4284 6-Jun-2013
13.7021 13.7021 13.7021 27-Apr-2015
11.2804 11.2804 11.2804 20-Oct-2011
13.0877 13.0877 13.0877 22-Dec-2017
10.108 10.108 10.108 22-Dec-2017
24.3031 24.3031 24.3031 22-Dec-2017
10.1376 10.1376 10.1376 22-Dec-2017
10.5522 10.5522 10.5522 22-Dec-2017
10.075 10.075 10.075 22-Dec-2017
10.068 10.068 10.068 22-Dec-2017
24.1469 24.1469 24.1469 22-Dec-2017
10.1233 10.1233 10.1233 22-Dec-2017
13.0382 13.0382 13.0382 22-Dec-2017
10.6346 10.6346 10.6346 22-Dec-2017
10.0964 10.0964 10.0964 22-Dec-2017

13.704 13.567 13.704 22-Dec-2017


14.0193 13.8791 14.0193 22-Dec-2017
11.7545 11.637 11.7545 22-Dec-2017
13.2492 13.1167 13.2492 22-Dec-2017
13.704 13.567 13.704 22-Dec-2017
13.2242 13.092 13.2242 22-Dec-2017
11.46 11.3454 11.46 22-Dec-2017
13.2242 13.092 13.2242 22-Dec-2017

14.4996 14.4996 14.4996 22-Dec-2017


12.4059 12.4059 12.4059 22-Dec-2017
10.5452 10.5452 10.5452 22-Dec-2017
12.4356 12.4356 12.4356 22-Dec-2017
13.8376 13.8376 13.8376 22-Dec-2017
12.1098 12.1098 12.1098 22-Dec-2017
10.2926 10.2926 10.2926 22-Dec-2017
12.4671 12.4671 12.4671 22-Dec-2017
12.8078 12.6797 12.8078 22-Dec-2017
12.7508 12.6233 12.7508 22-Dec-2017
12.4538 12.3293 12.4538 22-Dec-2017
12.4527 12.3282 12.4527 22-Dec-2017
1003.8651 1003.8651 1003.8651 22-Dec-2017
1483.1304 1483.1304 1483.1304 22-Dec-2017
1010.3634 1010.3634 1010.3634 22-Dec-2017
1004.8203 1004.8203 1004.8203 22-Dec-2017
1000.1761 1000.1761 1000.1761 13-Dec-2017
1409.4942 1409.4942 1409.4942 22-Dec-2017
1011.9576 1011.9576 1011.9576 22-Dec-2017
1008.6436 1008.6436 1008.6436 22-Dec-2017
1003.495 1003.495 1003.495 22-Dec-2017
1004.3509 1004.3509 1004.3509 22-Dec-2017
1001.7546 1001.7546 1001.7546 22-Dec-2017
1695.275 1695.275 1695.275 22-Dec-2017
1004.4359 1004.4359 1004.4359 22-Dec-2017
1001.9815 1001.9815 1001.9815 22-Dec-2017
1002.1868 1002.1868 1002.1868 21-Dec-2017
1654.8958 1654.8958 1654.8958 22-Dec-2017
1004.2531 1004.2531 1004.2531 22-Dec-2017
1002.665 1002.665 1002.665 22-Dec-2017

1718.6723 1718.6723 1718.6723 22-Dec-2017


1692.537 1692.537 1692.537 21-Mar-2017
1572.4236 1572.4236 1572.4236 21-Mar-2017
2026.4247 2026.4247 2026.4247 22-Dec-2017
1234.6072 1234.6072 1234.6072 22-Dec-2017
1110.8933 1110.8933 1110.8933 22-Dec-2017
1204.5124 1192.4673 1204.5124 15-Jul-2015
1954.1894 1954.1894 1954.1894 22-Dec-2017
1437.57 1437.57 1437.57 22-Dec-2017
1080.9948 1080.9948 1080.9948 22-Dec-2017
1003.1236 1003.1236 1003.1236 22-Dec-2017
1446.8746 1446.8746 1446.8746 29-Sep-2017
1459.714 1459.714 1459.714 22-Dec-2017
1011.4638 1011.4638 1011.4638 22-Dec-2017
1404.6701 1404.6701 1404.6701 22-Dec-2017
1011.208 1011.208 1011.208 22-Dec-2017
1377.3369 1363.5635 1377.3369 22-Dec-2017
1029.6722 1019.3755 1029.6722 22-Dec-2017
1343.6574 1330.2208 1343.6574 22-Dec-2017
1343.6629 1330.2263 1343.6629 22-Dec-2017
1030.9732 1020.6635 1030.9732 22-Dec-2017
1000.29 1000.29 1000.29 22-Dec-2017
1000.29 1000.29 1000.29 22-Dec-2017
1764.8204 1764.8204 1764.8204 22-Dec-2017
1970.2646 1970.2646 1970.2646 22-Dec-2017
1021.9656 1021.9656 1021.9656 22-Dec-2017
1948.0841 1948.0841 1948.0841 22-Dec-2017
1945.5384 1945.5384 1945.5384 22-Dec-2017
1021.8047 1021.8047 1021.8047 22-Dec-2017
1817.1906 1817.1906 1817.1906 22-Dec-2017
1062.076 1062.076 1062.076 22-Dec-2017
1002 1002 1002 22-Dec-2017
1356.1614 1356.1614 1356.1614 22-Dec-2017
1073.3608 1073.3608 1073.3608 22-Dec-2017
1270.0745 1270.0745 1270.0745 22-Dec-2017
1030.8677 1030.8677 1030.8677 22-Dec-2017
1783.3749 1783.3749 1783.3749 22-Dec-2017
1299.074 1299.074 1299.074 22-Dec-2017
1045.4232 1045.4232 1045.4232 22-Dec-2017
1740.4021 1740.4021 1740.4021 22-Dec-2017
1015.9072 1015.9072 1015.9072 22-Dec-2017
1214.5861 1214.5861 1214.5861 22-Dec-2017
1756.0207 1738.4605 1756.0207 22-Dec-2017
1129.3425 1118.0491 1129.3425 22-Dec-2017
1692.9645 1676.0349 1692.9645 22-Dec-2017
1178.9108 1167.1217 1178.9108 22-Dec-2017
1030.7646 1030.7646 1030.7646 22-Dec-2017
1021.3561 1021.3561 1021.3561 22-Dec-2017
2338.6613 2338.6613 2338.6613 22-Dec-2017
1930.9227 1930.9227 1930.9227 22-Dec-2017
1650.1644 1650.1644 1650.1644 22-Dec-2017
1017.3485 1017.3485 1017.3485 22-Dec-2017
2242.4923 2242.4923 2242.4923 22-Dec-2017
1045.7938 1045.7938 1045.7938 22-Dec-2017
2234.5331 2234.5331 2234.5331 22-Dec-2017
1486.3742 1486.3742 1486.3742 22-Dec-2017
1013.3326 1013.3326 1013.3326 22-Dec-2017
1016.8152 1016.8152 1016.8152 22-Dec-2017
1634.0692 1634.0692 1634.0692 29-Aug-2017
1029.2504 1029.2504 1029.2504 22-Dec-2017
2353.8238 2353.8238 2353.8238 22-Dec-2017
1307.684 1307.684 1307.684 22-Dec-2017
1001.3692 1001.3692 1001.3692 22-Dec-2017
1332.3874 1332.3874 1332.3874 22-Dec-2017
2398.565 2398.565 2398.565 22-Dec-2017
2398.2815 2398.2815 2398.2815 22-Dec-2017
1053.0218 1053.0218 1053.0218 22-Dec-2017
1205.6259 1205.6259 1205.6259 22-Dec-2017
1018.6338 1018.6338 1018.6338 22-Dec-2017
1478.8637 1478.8637 1478.8637 29-Aug-2017
2353.8209 2353.8209 2353.8209 22-Dec-2017
1030.9094 1030.9094 1030.9094 22-Dec-2017
2194.1847 2194.1847 2194.1847 22-Dec-2017
1070.5956 1070.5956 1070.5956 22-Dec-2017
1128.0981 1128.0981 1128.0981 22-Dec-2017
1212.0425 1212.0425 1212.0425 22-Dec-2017
1021.6156 1021.6156 1021.6156 22-Dec-2017

27.3697 27.3697 27.3697 22-Dec-2017


10.011 10.011 10.011 22-Dec-2017
26.9064 26.9064 26.9064 22-Dec-2017
27.1595 27.1595 27.1595 22-Dec-2017
27.0141 27.0141 27.0141 22-Dec-2017
27.1713 27.1713 27.1713 22-Dec-2017
10.565 10.565 10.565 22-Dec-2017
26.321 26.321 26.321 22-Dec-2017
26.5252 26.5252 26.5252 22-Dec-2017
26.5157 26.5157 26.5157 22-Dec-2017
10.0067 10.0067 10.0067 22-Dec-2017
10.3665 10.3665 10.3665 22-Dec-2017
25.4771 25.4771 25.4771 22-Dec-2017
10.0065 10.0065 10.0065 22-Dec-2017
26.3897 26.3897 26.3897 22-Dec-2017
26.3071 26.3071 26.3071 22-Dec-2017
10.5531 10.5531 10.5531 22-Dec-2017
21.1047 21.1047 21.1047 22-Dec-2017
49.2423 49.2423 49.2423 22-Dec-2017
17.2629 17.2629 17.2629 22-Dec-2017
46.862 46.862 46.862 22-Dec-2017
15.9333 15.9333 15.9333 22-Dec-2017
19.1727 19.1727 19.1727 22-Dec-2017
25.9834 25.9834 25.9834 28-Apr-2017
20.9404 20.9404 20.9404 28-Apr-2017
19.5151 19.5151 19.5151 28-Apr-2017
25.7788 25.7788 25.7788 28-Apr-2017
12.6302 12.6302 12.6302 28-Apr-2017
24.5085 24.5085 24.5085 28-Apr-2017
19.4034 19.4034 19.4034 28-Apr-2017
24.1503 24.1503 24.1503 28-Apr-2017
11.4362 11.4362 11.4362 28-Apr-2017
18.1976 18.1976 18.1976 28-Apr-2017
24.5714 24.5714 24.5714 22-Dec-2017
10.2678 10.2678 10.2678 22-Dec-2017
24.3435 24.3435 24.3435 22-Dec-2017
10.1038 10.1038 10.1038 22-Dec-2017
10.6184 10.6184 10.6184 22-Dec-2017
24.1149 24.1149 24.1149 22-Dec-2017
10.0755 10.0755 10.0755 22-Dec-2017
10.2413 10.2413 10.2413 22-Dec-2017
10.6075 10.6075 10.6075 22-Dec-2017
23.8995 23.8995 23.8995 22-Dec-2017
13.5959 13.5959 13.5959 22-Dec-2017
10.0508 10.0508 10.0508 22-Dec-2017
10.3271 10.3271 10.3271 22-Dec-2017
24.4898 24.4898 24.4898 22-Dec-2017
10.6644 10.6644 10.6644 22-Dec-2017
13.4955 13.4955 13.4955 22-Dec-2017
10.0418 10.0418 10.0418 22-Dec-2017
10.3126 10.3126 10.3126 22-Dec-2017
10.6452 10.6452 10.6452 22-Dec-2017
24.2244 24.2244 24.2244 22-Dec-2017
14.7108 14.7108 14.7108 22-Dec-2017
10.1062 10.1062 10.1062 22-Dec-2017
10.3571 10.3571 10.3571 22-Dec-2017
24.4316 24.4316 24.4316 22-Dec-2017
10.6534 10.6534 10.6534 22-Dec-2017
14.6379 14.6379 14.6379 22-Dec-2017
10.1007 10.1007 10.1007 22-Dec-2017
10.3418 10.3418 10.3418 22-Dec-2017
10.6357 10.6357 10.6357 22-Dec-2017
24.2986 24.2986 24.2986 22-Dec-2017
13.2081 13.2081 13.2081 22-Dec-2017
10.5767 10.5767 10.5767 22-Dec-2017
24.3943 24.3943 24.3943 22-Dec-2017
12.8213 12.8213 12.8213 22-Dec-2017
10.5413 10.5413 10.5413 22-Dec-2017
24.0905 24.0905 24.0905 22-Dec-2017
12.6953 12.6953 12.6953 22-Dec-2017
11.6027 11.6027 11.6027 22-Dec-2017
32.8673 32.8673 32.8673 22-Dec-2017

16.1842 16.1842 16.1842 15-Sep-2017


10.188 10.188 10.188 15-Sep-2017
10.2604 10.2604 10.2604 15-Sep-2017
38.5472 38.5472 38.5472 22-Dec-2017
10.553 10.553 10.553 22-Dec-2017
17.1427 17.1427 17.1427 15-Sep-2017
39.0182 39.0182 39.0182 22-Dec-2017
10.6537 10.6537 10.6537 22-Dec-2017
22.1309 22.1309 22.1309 22-Dec-2017
48.9637 48.9637 48.9637 22-Dec-2017
13.2512 13.2512 13.2512 22-Dec-2017
28.8835 28.8835 28.8835 22-Dec-2017
30.696 30.696 30.696 21-Oct-2016
22.7736 22.5459 22.7736 6-Mar-2014
40.4758 40.071 40.4758 27-Jul-2015
47.144 47.144 47.144 22-Dec-2017
10.5425 10.5425 10.5425 22-Dec-2017
13.6554 13.6554 13.6554 21-Oct-2016
42.9354 42.9354 42.9354 21-Oct-2016
10.1078 10.1078 10.1078 22-Dec-2017
10.4673 10.4673 10.4673 22-Dec-2017
31.9173 31.9173 31.9173 22-Dec-2017
33.0613 33.0613 33.0613 22-Dec-2017
11.6528 11.6528 11.6528 22-Dec-2017
11.7749 11.7749 11.7749 22-Dec-2017
2034.9063 2034.9063 2034.9063 21-Oct-2016
2282.9097 2282.9097 2282.9097 22-Dec-2017
1099.7492 1099.7492 1099.7492 22-Dec-2017
2090.4924 2090.4924 2090.4924 21-Oct-2016
2240.0628 2240.0628 2240.0628 22-Dec-2017
1046.2497 1046.2497 1046.2497 22-Dec-2017
1066.6837 1066.6837 1066.6837 15-Sep-2017
1040.0538 1040.0538 1040.0538 21-Oct-2016
1052.3061 1052.3061 1052.3061 21-Oct-2016
1052.6393 1052.6393 1052.6393 21-Oct-2016
1052.7994 1052.7994 1052.7994 21-Oct-2016
1202.9939 1202.9939 1202.9939 21-Oct-2016
10.7268 10.7268 10.7268 21-Oct-2016
25.1289 25.1289 25.1289 21-Oct-2016
14.3817 14.3817 14.3817 21-Oct-2016
10.035 10.035 10.035 21-Oct-2016
10.1362 10.1362 10.1362 15-Sep-2017
22.6508 22.6508 22.6508 22-Dec-2017
10.5877 10.5877 10.5877 22-Dec-2017
12.8673 12.8673 12.8673 15-Sep-2017
10.0364 10.0364 10.0364 15-Sep-2017
21.9719 21.9719 21.9719 22-Dec-2017
10.7974 10.7974 10.7974 22-Dec-2017
10.5335 10.5335 10.5335 15-Sep-2017
22.3815 22.3815 22.3815 22-Dec-2017
21.7276 21.7276 21.7276 22-Dec-2017
10.7299 10.7299 10.7299 22-Dec-2017
14.7525 14.7525 14.7525 22-Dec-2017
18.7545 18.7545 18.7545 22-Dec-2017
19.6417 19.6417 19.6417 22-Dec-2017
10.3284 10.3284 10.3284 22-Dec-2017
10.5512 10.5512 10.5512 22-Dec-2017
10.6761 10.6761 10.6761 22-Dec-2017
10.0577 10.0577 10.0577 22-Dec-2017
9.9964 9.9964 9.9964 22-Dec-2017
10.4208 10.4208 10.4208 22-Dec-2017
1014.1214 1014.1214 1014.1214 22-Dec-2017
1037.2698 1037.2698 1037.2698 22-Dec-2017
1070.089 1070.089 1070.089 15-Sep-2017
1321.4208 1308.2066 1321.4208 19-Jan-2016
2142.9918 2142.9918 2142.9918 22-Dec-2017
1198.5743 1198.5743 1198.5743 22-Dec-2017
2080.7958 2080.7958 2080.7958 22-Dec-2017
1017.9387 1017.9387 1017.9387 22-Dec-2017
1971.7193 1971.7193 1971.7193 21-Oct-2016
1020.796 1020.796 1020.796 21-Oct-2016
1021.1728 1021.1728 1021.1728 21-Oct-2016
10.9866 10.9866 10.9866 22-Dec-2017
14.7235 14.7235 14.7235 22-Dec-2017
10.5227 10.5227 10.5227 22-Dec-2017
14.6879 14.6879 14.6879 22-Dec-2017
14.1718 14.1718 14.1718 22-Dec-2017
10.5151 10.5151 10.5151 22-Dec-2017
29.9373 29.9373 29.9373 22-Dec-2017
31.4208 31.4208 31.4208 22-Dec-2017
13.0266 13.0266 13.0266 22-Dec-2017
13.4217 13.4217 13.4217 22-Dec-2017
14.2283 14.2283 14.2283 22-Dec-2017
14.7717 14.7717 14.7717 22-Dec-2017
12.0699 11.9492 12.0699 15-Sep-2017
12.891 12.7621 12.891 15-Sep-2017
17.07128365 17.07128365 17.07128365 11-Oct-2017
18.07151008 18.07151008 18.07151008 11-Oct-2017
14.3128 14.1697 14.3128 15-Sep-2017
13.1358 13.1358 13.1358 17-May-2016
12.38792765 12.38792765 12.38792765 11-Oct-2017
12.90566525 12.90566525 12.90566525 11-Oct-2017

10.742 10.742 10.742 22-Dec-2017


10.5258 10.5258 10.5258 22-Dec-2017
13.9671 13.9671 13.9671 2-Feb-2017
15.4325 15.4325 15.4325 22-Dec-2017
10.436 10.436 10.436 22-Dec-2017
10.4748 10.4748 10.4748 22-Dec-2017
15.0922 15.0922 15.0922 22-Dec-2017
10.4301 10.4301 10.4301 22-Dec-2017
11.1955 11.1395 11.1955 22-Dec-2017
12.1463 12.0856 12.1463 22-Dec-2017
18.9532 18.8584 18.9532 22-Dec-2017
11.1323 11.0766 11.1323 22-Dec-2017
11.0246 10.9695 11.0246 22-Dec-2017
18.3997 18.3077 18.3997 22-Dec-2017
10.8591 10.8591 10.8591 22-Dec-2017
13.0725 13.0725 13.0725 22-Dec-2017
10.8591 10.8591 10.8591 22-Dec-2017
16.8416 16.8416 16.8416 22-Dec-2017
11.4256 11.4256 11.4256 22-Dec-2017
13.0388 13.0388 13.0388 22-Dec-2017
17.1255 17.1255 17.1255 22-Dec-2017
11.6795 11.6795 11.6795 22-Dec-2017
11.1903 11.0784 11.1903 22-Dec-2017
11.9011 11.7821 11.9011 22-Dec-2017
11.7406 11.6232 11.7406 22-Dec-2017
19.5551 19.3595 19.5551 22-Dec-2017
19.9897 19.7898 19.9897 22-Dec-2017
19.2458 19.0533 19.2458 22-Dec-2017
10.9684 10.8587 10.9684 22-Dec-2017
33.0141 32.684 33.0141 22-Dec-2017
34.1744 33.8327 34.1744 22-Dec-2017
11.6268 11.5105 11.6268 22-Dec-2017
11.0944 10.9835 11.0944 22-Dec-2017
12.1239 12.0027 12.1239 22-Dec-2017
11.7949 11.677 11.7949 22-Dec-2017
12.0255 11.785 12.0255 22-Dec-2017
11.1149 10.8926 11.1149 22-Dec-2017
13.0955 12.8336 13.0955 22-Dec-2017
11.8056 11.5695 11.8056 22-Dec-2017
10.8151 10.5988 10.8151 22-Dec-2017
12.7728 12.5173 12.7728 22-Dec-2017
11.2829 11.1701 11.2829 22-Dec-2017
11.2508 11.1383 11.2508 22-Dec-2017
11.1254 11.0141 11.1254 22-Dec-2017
18.6286 18.4423 18.6286 22-Dec-2017
10.8348 10.7265 10.8348 22-Dec-2017
18.3608 18.1772 18.3608 22-Dec-2017
11.964 11.964 11.964 22-Dec-2017
11.2369 11.2369 11.2369 22-Dec-2017
11.8324 11.8324 11.8324 22-Dec-2017
16.3201 16.3201 16.3201 22-Dec-2017
16.3201 16.3201 16.3201 22-Dec-2017
10.8328 10.8328 10.8328 22-Dec-2017
10.8528 10.8528 10.8528 22-Dec-2017
11.0939 11.0939 11.0939 22-Dec-2017
11.4086 11.3801 11.4086 2-Sep-2013
16.68 16.68 16.68 22-Dec-2017
44.3339 44.3339 44.3339 22-Dec-2017
17.4789 17.4789 17.4789 22-Dec-2017
11.0757 11.0757 11.0757 22-Dec-2017
11.1434 11.1434 11.1434 22-Dec-2017
11.3331 11.3331 11.3331 22-Dec-2017
16.2033 16.2033 16.2033 22-Dec-2017
15.2693 15.2693 15.2693 22-Dec-2017
42.6571 42.6571 42.6571 22-Dec-2017
15.4102 15.4102 15.4102 22-Dec-2017
10.7343 10.7343 10.7343 29-Aug-2016
15.1753 15.1753 15.1753 22-Dec-2017
27.8212 27.8212 27.8212 22-Dec-2017
26.7721 26.7721 26.7721 22-Dec-2017
10.439 10.439 10.439 22-Dec-2017
11.0501 11.0501 11.0501 22-Dec-2017
10.2566 10.2566 10.2566 22-Dec-2017
28.2516 28.2516 28.2516 22-Dec-2017
10.8908 10.8908 10.8908 22-Dec-2017
21.0357 21.0357 21.0357 22-Dec-2017
12.7468 12.7468 12.7468 22-Dec-2017
12.877 12.877 12.877 22-Dec-2017

11.3357 11.2223 11.3357 22-Dec-2017


46.9267 46.4574 46.9267 22-Dec-2017
10.3972 10.2932 10.3972 22-Dec-2017
45.7472 45.2897 45.7472 22-Dec-2017
10.1556 10.1556 10.1556 22-Dec-2017
22.1816 22.1816 22.1816 22-Dec-2017
10.2459 10.2459 10.2459 22-Dec-2017
10.0995 10.0995 10.0995 22-Dec-2017
10.1133 10.1133 10.1133 22-Dec-2017
21.4192 21.4192 21.4192 22-Dec-2017
10.1242 10.1242 10.1242 22-Dec-2017
10.1006 10.1006 10.1006 22-Dec-2017
53.72 53.1828 53.72 22-Dec-2017
10.7918 10.6839 10.7918 22-Dec-2017
11.3924 11.2785 11.3924 22-Dec-2017
12.262 12.1394 12.262 22-Dec-2017
51.8786 51.3598 51.8786 22-Dec-2017
10.6902 10.5833 10.6902 22-Dec-2017
10.9362 10.8268 10.9362 22-Dec-2017
11.8658 11.7471 11.8658 22-Dec-2017
10.1 10.1 10.1 22-Dec-2017
27.079 27.079 27.079 22-Dec-2017
14.17 14.17 14.17 22-Dec-2017
10.5448 10.5448 10.5448 22-Dec-2017
10.161 10.161 10.161 22-Dec-2017
26.0751 26.0751 26.0751 22-Dec-2017
10.193 10.193 10.193 22-Dec-2017
10.111 10.111 10.111 22-Dec-2017

1060.922 1060.922 1060.922 22-Dec-2017


1004.6915 1004.6915 1004.6915 22-Dec-2017
1060.7557 1060.7557 1060.7557 22-Dec-2017
1030.5733 1030.5733 1030.5733 22-Dec-2017
1004.3225 1004.3225 1004.3225 22-Dec-2017
1052.1671 1052.1671 1052.1671 22-Dec-2017
1052.1512 1052.1512 1052.1512 22-Dec-2017
1052.1806 1052.1806 1052.1806 22-Dec-2017

10.4406 10.3884 10.4406 22-Dec-2017


10.4406 10.3884 10.4406 22-Dec-2017
10.3318 10.2801 10.3318 22-Dec-2017
10.3318 10.2801 10.3318 22-Dec-2017
1118.3162 1118.3162 1118.3162 22-Dec-2017
1223.5735 1223.5735 1223.5735 22-Dec-2017
1528.0488 1528.0488 1528.0488 22-Dec-2017
1173.0391 1173.0391 1173.0391 22-Dec-2017
1054.7044 1054.7044 1054.7044 22-Dec-2017
1469.6431 1469.6431 1469.6431 22-Dec-2017
1663.8222 1663.8222 1663.8222 22-Dec-2017
1745.1845 1745.1845 1745.1845 22-Dec-2017
1662.2469 1662.2469 1662.2469 16-Nov-2017
1000.3693 1000.3693 1000.3693 26-Jun-2012
1664.5583 1664.5583 1664.5583 22-Dec-2017
1471.879 1471.879 1471.879 22-Dec-2017
1099.4461 1099.4461 1099.4461 22-Dec-2017
1032.8399 1032.8399 1032.8399 22-Dec-2017
1017.3033 1017.3033 1017.3033 22-Dec-2017
10.3019 10.2504 10.3019 3-Mar-2016

13.5303 13.5303 13.5303 22-Dec-2017


10.0008 10.0008 10.0008 22-Dec-2017
10.0126 10.0126 10.0126 22-Dec-2017
10.0312 10.0312 10.0312 22-Dec-2017
10.1447 10.1447 10.1447 22-Dec-2017
10.0068 10.0068 10.0068 22-Dec-2017
13.2047 13.2047 13.2047 22-Dec-2017
10.0109 10.0109 10.0109 22-Dec-2017
10.0093 10.0093 10.0093 22-Dec-2017
10.0296 10.0296 10.0296 22-Dec-2017
10.1448 10.1448 10.1448 22-Dec-2017
10.0066 10.0066 10.0066 22-Dec-2017

2711.2803 2711.2803 2711.2803 22-Dec-2017


1239.4088 1239.4088 1239.4088 22-Dec-2017
2667.8541 2667.8541 2667.8541 22-Dec-2017
1236.4493 1236.4493 1236.4493 22-Dec-2017
30.5413 30.2359 30.5413 22-Dec-2017
10.1683 10.0666 10.1683 22-Dec-2017
11.9559 11.8363 11.9559 22-Dec-2017
29.2822 28.9894 29.2822 22-Dec-2017
11.5614 11.4458 11.5614 22-Dec-2017
30.2382 29.9358 30.2382 22-Dec-2017
11.2174 11.1052 11.2174 22-Dec-2017
29.1341 28.8428 29.1341 22-Dec-2017
13.1758 13.044 13.1758 22-Dec-2017
13.2617 13.1291 13.2617 22-Dec-2017
1007.0845 1007.0845 1007.0845 22-Dec-2017
2801.0305 2801.0305 2801.0305 22-Dec-2017
1141.5142 1141.5142 1141.5142 22-Dec-2017
1005.5404 1005.5404 1005.5404 22-Dec-2017
1005.5179 1005.5179 1005.5179 22-Dec-2017
1005.355 1005.355 1005.355 22-Dec-2017
2713.6985 2713.6985 2713.6985 22-Dec-2017
1139.4727 1139.4727 1139.4727 22-Dec-2017
1059.8341 1059.8341 1059.8341 22-Dec-2017
1946.9586 1946.9586 1946.9586 22-Dec-2017
1005.43 1005.43 1005.43 22-Dec-2017
1926.129 1926.129 1926.129 22-Dec-2017
1059.6621 1059.6621 1059.6621 22-Dec-2017
1019.0459 1019.0459 1019.0459 22-Dec-2017
12.8414 12.8414 12.8414 22-Dec-2017
12.8069 12.8069 12.8069 22-Dec-2017
31.0954 31.0954 31.0954 22-Dec-2017
29.9703 29.9703 29.9703 22-Dec-2017

12.8679 12.8679 12.8679 22-Dec-2017


10.0697 10.0697 10.0697 22-Dec-2017
12.8595 12.8595 12.8595 22-Dec-2017
10.0692 10.0692 10.0692 22-Dec-2017

10.3161 10.3161 10.3161 22-Dec-2017


12.3891 12.3891 12.3891 22-Dec-2017
12.3891 12.3891 12.3891 22-Dec-2017
12.3891 12.3891 12.3891 22-Dec-2017
10.2956 10.2956 10.2956 22-Dec-2017
10.33 10.33 10.33 22-Dec-2017
10.1028 10.1028 10.1028 22-Dec-2017
12.3246 12.3246 12.3246 22-Dec-2017
12.3245 12.3245 12.3245 22-Dec-2017
12.3246 12.3246 12.3246 22-Dec-2017
10.2816 10.2816 10.2816 22-Dec-2017
10.102 10.102 10.102 22-Dec-2017
13.7815 13.6437 13.7815 22-Dec-2017
14.2027 14.0607 14.2027 22-Dec-2017
11.9779 11.8581 11.9779 22-Dec-2017
14.2027 14.0607 14.2027 22-Dec-2017
10.6029 10.4969 10.6029 22-Dec-2017
11.7928 11.6749 11.7928 22-Dec-2017
13.7815 13.6437 13.7815 22-Dec-2017
10.5677 10.462 10.5677 22-Dec-2017
17.23 17.0577 17.23 22-Dec-2017
23.8497 23.6112 23.8497 22-Dec-2017
10.3231 10.2199 10.3231 22-Dec-2017
15.523 15.3678 15.523 22-Dec-2017
23.0784 22.8476 23.0784 22-Dec-2017
10.3297 10.2264 10.3297 22-Dec-2017
10.0838 10.0334 10.0838 22-Dec-2017
10.0855 10.0351 10.0855 22-Dec-2017
27.5832 27.4453 27.5832 22-Dec-2017
10.8737 10.8193 10.8737 22-Dec-2017
10.3253 10.2737 10.3253 22-Dec-2017
10.0896 10.0392 10.0896 22-Dec-2017
26.9271 26.7925 26.9271 22-Dec-2017
10.7248 10.6712 10.7248 22-Dec-2017
10.4808 10.4284 10.4808 22-Dec-2017
10.0863 10.0359 10.0863 22-Dec-2017
12.2985 12.237 12.2985 22-Dec-2017
12.1578 12.097 12.1578 22-Dec-2017
13.0353 13.0353 13.0353 22-Dec-2017
14.3297 14.3297 14.3297 22-Dec-2017
57.1611 57.1611 57.1611 22-Dec-2017
16.334 16.334 16.334 22-Dec-2017
13.124 13.124 13.124 22-Dec-2017
10.8791 10.8791 10.8791 22-Dec-2017
13.2202 13.2202 13.2202 22-Dec-2017
15.7411 15.7411 15.7411 22-Dec-2017
54.7529 54.7529 54.7529 22-Dec-2017
12.3556 12.3556 12.3556 22-Dec-2017
10.3548 10.3548 10.3548 22-Dec-2017
12.8063 12.8063 12.8063 22-Dec-2017
12.842 12.842 12.842 17-Oct-2016
10 10 10 17-Oct-2016
12.8098 12.8098 12.8098 17-Oct-2016
10 10 10 27-Oct-2016
12.9862 12.9862 12.9862 27-Oct-2016
10 10 10 27-Oct-2016
12.7938 12.7938 12.7938 27-Oct-2016
10 10 10 1-Nov-2016
12.8033 12.8033 12.8033 1-Nov-2016
10 10 10 1-Nov-2016
12.7519 12.7519 12.7519 1-Nov-2016
13.6322 13.6322 13.6322 10-Nov-2017
10 10 10 10-Nov-2017
13.596 13.596 13.596 10-Nov-2017
17.2576 17.2576 17.2576 22-Dec-2017
10.3079 10.3079 10.3079 22-Dec-2017
17.1824 17.1824 17.1824 22-Dec-2017
23.1712 23.1712 23.1712 22-Dec-2017
10.308 10.308 10.308 22-Dec-2017
10.0099 10.0099 10.0099 22-Dec-2017
22.5681 22.5681 22.5681 22-Dec-2017
10.0099 10.0099 10.0099 22-Dec-2017
10.0101 10.0101 10.0101 22-Dec-2017
22.6495 22.6495 22.6495 22-Dec-2017
10.0366 10.0366 10.0366 22-Dec-2017
22.4892 22.4892 22.4892 22-Dec-2017
10.0366 10.0366 10.0366 22-Dec-2017
10.0391 10.0391 10.0391 22-Dec-2017
22.6792 22.6792 22.6792 22-Dec-2017
10.0304 10.0304 10.0304 7-Nov-2016
10.1047 10.1047 10.1047 22-Dec-2017
23.1805 23.1805 23.1805 22-Dec-2017
10.0894 10.0894 10.0894 22-Dec-2017
23.2972 23.2972 23.2972 22-Dec-2017
10.1578 10.1578 10.1578 22-Dec-2017
23.121 23.121 23.121 22-Dec-2017
23.0237 23.0237 23.0237 22-Dec-2017
10.156 10.156 10.156 22-Dec-2017
10.1562 10.1562 10.1562 22-Dec-2017
10.0324 10.0324 10.0324 22-Dec-2017
22.9764 22.9764 22.9764 22-Dec-2017
10.0324 10.0324 10.0324 22-Dec-2017
17.933 17.933 17.933 22-Dec-2017
10.0258 10.0258 10.0258 22-Dec-2017
14.0119 14.0119 14.0119 22-Dec-2017
11.546 11.546 11.546 22-Dec-2017
17.0801 17.0801 17.0801 22-Dec-2017
26.0144 26.0144 26.0144 22-Dec-2017
36.4374 36.4374 36.4374 22-Dec-2017
11.251 11.251 11.251 22-Dec-2017
11.513 11.513 11.513 22-Dec-2017
17.0808 17.0808 17.0808 22-Dec-2017
11.4455 11.4455 11.4455 22-Dec-2017
25.5149 25.5149 25.5149 22-Dec-2017
35.7255 35.7255 35.7255 22-Dec-2017
11.1715 11.1715 11.1715 22-Dec-2017
11.4245 11.4245 11.4245 22-Dec-2017
17.0789 17.0789 17.0789 22-Dec-2017
17.0796 17.0796 17.0796 22-Dec-2017
1302.1496 1302.1496 1302.1496 22-Dec-2017
1007.1523 1007.1523 1007.1523 22-Dec-2017
1387.6586 1387.6586 1387.6586 22-Dec-2017
2388.8146 2388.8146 2388.8146 22-Dec-2017
1011.4543 1011.4543 1011.4543 22-Dec-2017
1005.7792 1005.7792 1005.7792 22-Dec-2017
1007.1524 1007.1524 1007.1524 22-Dec-2017
1287.6682 1287.6682 1287.6682 22-Dec-2017
1007.0895 1007.0895 1007.0895 22-Dec-2017
2264.7572 2264.7572 2264.7572 22-Dec-2017
1687.6016 1687.6016 1687.6016 22-Dec-2017
1010.2383 1010.2383 1010.2383 22-Dec-2017
1022.2363 1022.2363 1022.2363 22-Dec-2017
1007.0894 1007.0894 1007.0894 22-Dec-2017
1007.1217 1007.1217 1007.1217 22-Dec-2017
1363.0732 1363.0732 1363.0732 22-Dec-2017
1008.2727 1008.2727 1008.2727 22-Dec-2017
1005.6814 1005.6814 1005.6814 22-Dec-2017
1007.1215 1007.1215 1007.1215 22-Dec-2017
2347.6752 2347.6752 2347.6752 22-Dec-2017
42.8935 42.2501 42.8935 22-Dec-2017
13.3233 13.1235 13.3233 22-Dec-2017
13.347 13.1468 13.347 22-Dec-2017
41.1029 40.4864 41.1029 22-Dec-2017
12.5009 12.3134 12.5009 22-Dec-2017
13.0443 12.8486 13.0443 22-Dec-2017
24.8098 24.5617 24.8098 22-Dec-2017
13.2946 13.1617 13.2946 22-Dec-2017
23.7703 23.5326 23.7703 22-Dec-2017
24.5115 24.2664 24.5115 22-Dec-2017
13.0192 12.889 13.0192 22-Dec-2017
13.4324 13.2981 13.4324 22-Dec-2017
13.0398 12.9094 13.0398 22-Dec-2017
12.6718 12.5451 12.6718 22-Dec-2017
12.6718 12.5451 12.6718 22-Dec-2017
12.6718 12.5451 12.6718 22-Dec-2017
12.1363 12.0149 12.1363 22-Dec-2017
12.1363 12.0149 12.1363 22-Dec-2017
12.1363 12.0149 12.1363 22-Dec-2017
13.4453 13.4453 13.4453 22-Dec-2017
11.2469 11.2469 11.2469 22-Dec-2017
33.0836 33.0836 33.0836 22-Dec-2017
14.4059 14.4059 14.4059 22-Dec-2017
13.0647 13.0647 13.0647 22-Dec-2017
11.1107 11.1107 11.1107 22-Dec-2017
32.122 32.122 32.122 22-Dec-2017
14.2232 14.2232 14.2232 22-Dec-2017
10.5889 10.5889 10.5889 22-Dec-2017
14.8596 14.8596 14.8596 22-Dec-2017
10.5796 10.5796 10.5796 22-Dec-2017
14.8018 14.8018 14.8018 22-Dec-2017
10.5565 10.5565 10.5565 22-Dec-2017
14.9153 14.9153 14.9153 22-Dec-2017
10.5479 10.5479 10.5479 22-Dec-2017
14.8551 14.8551 14.8551 22-Dec-2017
13.8817 13.8817 13.8817 7-Apr-2017
13.8388 13.8388 13.8388 7-Apr-2017
10 10 10 17-Jun-2014
13.7847 13.7847 13.7847 28-Jun-2017
10.0005 10.0005 10.0005 28-Jun-2017
13.7436 13.7436 13.7436 28-Jun-2017
13.764 13.764 13.764 14-Jul-2017
10.0001 10.0001 10.0001 14-Jul-2017
13.7202 13.7202 13.7202 14-Jul-2017

10.4805 10.1661 10.4805 22-Dec-2017


14.7182 14.2767 14.7182 22-Dec-2017
10.4773 10.163 10.4773 22-Dec-2017
13.9734 13.5542 13.9734 22-Dec-2017
28.199 27.353 28.199 22-Dec-2017
27.4444 26.6211 27.4444 22-Dec-2017
13.7913 13.7568 13.7913 22-Dec-2017
12.6427 12.6111 12.6427 22-Dec-2017
21.9645 21.9096 21.9645 22-Dec-2017
21.2665 21.2133 21.2665 22-Dec-2017
57.1277 55.4139 57.1277 22-Dec-2017
54.8532 53.2076 54.8532 22-Dec-2017
26.127 25.8657 26.127 22-Dec-2017
13.8072 13.6691 13.8072 22-Dec-2017
14.0691 13.9284 14.0691 22-Dec-2017
43.0212 42.591 43.0212 22-Dec-2017
13.3858 13.2519 13.3858 22-Dec-2017
12.4982 12.3732 12.4982 22-Dec-2017
25.4336 25.1793 25.4336 22-Dec-2017
41.9754 41.5556 41.9754 22-Dec-2017
17.5187 17.3435 17.5187 22-Dec-2017
15.8542 15.6957 15.8542 22-Dec-2017
13.8835 13.7447 13.8835 22-Dec-2017
15.11 14.9589 15.11 22-Dec-2017
12.9972 12.8672 12.9972 22-Dec-2017
12.6513 12.5248 12.6513 22-Dec-2017
13.2066 13.0745 13.2066 22-Dec-2017
12.7367 12.6093 12.7367 22-Dec-2017
16.8633 16.6947 16.8633 22-Dec-2017
16.2096 16.0475 16.2096 22-Dec-2017
26.8456 26.5771 26.8456 22-Dec-2017
25.8741 25.6154 25.8741 22-Dec-2017
14.1422 14.0008 14.1422 22-Dec-2017
12.9463 12.8168 12.9463 22-Dec-2017
39.9936 39.5937 39.9936 22-Dec-2017
38.3244 37.9412 38.3244 22-Dec-2017
13.5202 13.3174 13.5202 22-Dec-2017
13.058 12.8621 13.058 22-Dec-2017
30.8243 30.3619 30.8243 22-Dec-2017
29.711 29.2653 29.711 22-Dec-2017
1007.8409 1007.8409 1007.8409 22-Dec-2017
N.A. N.A. N.A. 4-Sep-2017
2236.9324 2236.9324 2236.9324 22-Dec-2017
N.A. N.A. N.A. 4-Sep-2017
1005.1962 1005.1962 1005.1962 22-Dec-2017
22.2694 22.2694 22.2694 22-Dec-2017
10.9538 10.9538 10.9538 22-Dec-2017
11.3594 11.3594 11.3594 22-Dec-2017
10.9354 10.9354 10.9354 22-Dec-2017
13.5511 13.5511 13.5511 22-Dec-2017
10.3623 10.3623 10.3623 22-Dec-2017
20.1187 20.1187 20.1187 22-Dec-2017
19.6838 19.6838 19.6838 22-Dec-2017
12.4058 12.4058 12.4058 22-Dec-2017
12.0417 12.0417 12.0417 22-Dec-2017
10.5331 10.5331 10.5331 22-Dec-2017
10.5288 10.5288 10.5288 22-Dec-2017
1011.9737 1011.9737 1011.9737 22-Dec-2017
1011.816 1011.816 1011.816 22-Dec-2017
1938.8746 1938.8746 1938.8746 22-Dec-2017
1047.6595 1047.6595 1047.6595 22-Dec-2017
1890.4203 1890.4203 1890.4203 22-Dec-2017
1011.7746 1011.7746 1011.7746 22-Dec-2017
1011.9183 1011.9183 1011.9183 22-Dec-2017
1030.5815 1030.5815 1030.5815 22-Dec-2017
1007.8472 1007.8472 1007.8472 22-Dec-2017
1007.8409 1007.8409 1007.8409 22-Dec-2017
1028.34 1028.34 1028.34 22-Dec-2017
1028.331 1028.331 1028.331 22-Dec-2017
2207.6533 2207.6533 2207.6533 22-Dec-2017
2198.3188 2198.3188 2198.3188 22-Dec-2017
1083.7459 1083.7459 1083.7459 22-Dec-2017
1079.0938 1079.0938 1079.0938 22-Dec-2017
1010.7285 1010.7285 1010.7285 22-Dec-2017
1010.7199 1010.7199 1010.7199 22-Dec-2017
11.1062 10.9951 11.1062 5-Oct-2012
12.5326 12.4073 12.5326 5-Oct-2012

0 0 0 26-Sep-2013
12.2087 12.2087 12.2087 22-Dec-2017
11.9684 11.9684 11.9684 11-Apr-2017
25.6797 25.6797 25.6797 22-Dec-2017
12.0232 12.0232 12.0232 22-Dec-2017
11.7284 11.7284 11.7284 2-Jan-2017
10.9254 10.9254 10.9254 22-Dec-2017
11.6526 11.6526 11.6526 8-May-2017
11.8398 11.8398 11.8398 22-Dec-2017
11.9004 11.9004 11.9004 22-Dec-2017
11.1341 11.1341 11.1341 22-Dec-2017
24.9011 24.9011 24.9011 22-Dec-2017
11.8172 11.8172 11.8172 22-Dec-2017
11.8071 11.8071 11.8071 9-Sep-2016
11.0194 11.0194 11.0194 9-Sep-2016
14.0449 14.0449 14.0449 9-Sep-2016
17.5532 17.5532 17.5532 22-Nov-2013
21.7559 21.7559 21.7559 9-Sep-2016
11.0504 11.0504 11.0504 2-Mar-2015
12.154 12.154 12.154 9-Sep-2016
11.2512 11.2512 11.2512 9-Sep-2016
21.0774 21.0774 21.0774 9-Sep-2016
11.3185 11.3185 11.3185 9-Sep-2016
0 0 0 17-Dec-2012
0 0 0 26-Sep-2013
19.7509 19.7509 19.7509 22-Dec-2017
15.2572 15.2572 15.2572 22-Dec-2017
14.7395 14.7395 14.7395 22-Dec-2017
15.2679 15.2679 15.2679 22-Dec-2017
14.6145 14.6145 14.6145 22-Dec-2017
19.2871 19.2871 19.2871 22-Dec-2017
14.8901 14.8901 14.8901 22-Dec-2017
14.9503 14.9503 14.9503 22-Dec-2017
11.7065 11.7065 11.7065 17-Mar-2017
11.4008 11.4008 11.4008 17-Mar-2017
10.6356 10.6356 10.6356 31-Mar-2016
11.6319 11.6319 11.6319 17-Feb-2017
11.6493 11.6493 11.6493 17-Mar-2017
11.1411 11.1411 11.1411 17-Mar-2017
11.1681 11.1681 11.1681 16-Aug-2016
10.1418 10.1418 10.1418 17-Mar-2017
11.0236 11.0236 11.0236 17-Mar-2017
11.6582 11.6582 11.6582 17-Mar-2017
12.7357 12.6083 12.7357 22-Dec-2017
0 0 0 26-Sep-2013
50.1952 49.6932 50.1952 22-Dec-2017
0 0 0 26-Sep-2013
20.4431 20.2387 20.4431 22-Dec-2017
12.2254 12.1031 12.2254 22-Dec-2017
16.4621 16.2975 16.4621 22-Dec-2017
48.1993 47.7173 48.1993 22-Dec-2017
12.2605 12.1379 12.2605 22-Dec-2017
14.0397 13.8993 14.0397 9-Dec-2015
0 0 0 26-Sep-2013
54.4803 53.9355 54.4803 22-Dec-2017
0 0 0 26-Sep-2013
0 0 0 26-Sep-2013
12.0341 11.9138 12.0341 22-Dec-2017
10.1816 10.1816 10.1816 1-Sep-2015
18.5433 18.5433 18.5433 1-Sep-2015
10.2127 10.2127 10.2127 1-Sep-2015
18.5699 18.5699 18.5699 1-Sep-2015
10.174 10.174 10.174 15-Sep-2015
18.7607 18.7607 18.7607 15-Sep-2015
10.0023 10.0023 10.0023 17-Dec-2013
18.8438 18.8438 18.8438 15-Sep-2015
10.8689 10.8689 10.8689 22-Dec-2017
13.5191 13.5191 13.5191 22-Dec-2017
10.9715 10.9715 10.9715 22-Dec-2017
11.0921 11.0921 11.0921 22-Dec-2017
13.4618 13.4618 13.4618 22-Dec-2017
10.0095 10.0095 10.0095 22-Dec-2017
10.5656 10.5656 10.5656 21-Apr-2015
10.0093 10.0093 10.0093 22-Dec-2017
26.8088 26.8088 26.8088 22-Dec-2017
10.9672 10.9672 10.9672 22-Dec-2017
24.1676 24.1676 24.1676 22-Dec-2017
26.9008 26.9008 26.9008 22-Dec-2017
13.5938 13.5938 13.5938 22-Dec-2017
0 0 0 26-Sep-2013
24.434 24.434 24.434 22-Dec-2017
0 0 0 26-Sep-2013
12.0771 12.0771 12.0771 22-Dec-2017
14.4403 14.4403 14.4403 22-Dec-2017
13.4937 13.4937 13.4937 22-Dec-2017
24.112 24.112 24.112 22-Dec-2017
13.532 13.532 13.532 22-Dec-2017
14.3289 14.3289 14.3289 22-Dec-2017
0 0 0 26-Sep-2013
10.5417 10.5417 10.5417 29-Mar-2016
11.6903 11.6903 11.6903 22-Dec-2017
0 0 0 26-Sep-2013
0 0 0 26-Sep-2013
0 0 0 26-Sep-2013
16.7867 16.367 16.7867 22-Dec-2017
12.3355 12.0271 12.3355 22-Dec-2017
16.3883 15.9786 16.3883 22-Dec-2017
0 0 0 26-Sep-2013
12.2629 11.9563 12.2629 22-Dec-2017
0 0 0 26-Sep-2013
11.8907 11.5934 11.8907 22-Dec-2017
12.0141 11.7137 12.0141 22-Dec-2017
12.0962 12.0962 12.0962 22-Dec-2017
29.2871 29.2871 29.2871 22-Dec-2017
13.0056 13.0056 13.0056 22-Dec-2017
12.1693 12.1693 12.1693 22-Dec-2017
12.6152 12.6152 12.6152 22-Dec-2017
11.7061 11.7061 11.7061 22-Dec-2017
14.058 14.058 14.058 22-Dec-2017
14.6249 14.6249 14.6249 22-Dec-2017
11.673 11.673 11.673 17-Feb-2016
15.209 15.209 15.209 22-Dec-2017
13.0946 13.0946 13.0946 22-Dec-2017
30.5565 30.5565 30.5565 22-Dec-2017
12.6588 12.6588 12.6588 22-Dec-2017
12.7865 12.7865 12.7865 22-Dec-2017
12.1213 12.1213 12.1213 18-Jul-2017
14.274 14.274 14.274 22-Dec-2017
13.3282 13.3282 13.3282 22-Dec-2017
13.6361 13.6361 13.6361 22-Dec-2017
10.0439 10.0439 10.0439 22-Dec-2017
11.6265 11.6265 11.6265 22-Dec-2017
23.8703 23.8703 23.8703 22-Dec-2017
11.2211 11.2211 11.2211 22-Dec-2017
11.8376 11.8376 11.8376 22-Dec-2017
12.082 12.082 12.082 22-Dec-2017
10.037 10.037 10.037 22-Dec-2017
0 0 0 26-Sep-2013
22.2306 22.2306 22.2306 22-Dec-2017
10.9537 10.9537 10.9537 22-Dec-2017
0 0 0 26-Sep-2013
11.5152 11.5152 11.5152 20-Aug-2015
10.037 10.037 10.037 22-Dec-2017
11.2174 11.2174 11.2174 22-Dec-2017
23.2822 23.2822 23.2822 22-Dec-2017
11.0562 11.0562 11.0562 22-Dec-2017
11.6372 11.6372 11.6372 22-Dec-2017
11.9968 11.9968 11.9968 22-Dec-2017
10.037 10.037 10.037 22-Dec-2017
11.1109 11.1109 11.1109 22-Dec-2017
21.1044 21.1044 21.1044 22-Dec-2017
10.8747 10.8747 10.8747 22-Dec-2017
11.2928 11.2928 11.2928 22-Dec-2017
11.8343 11.8343 11.8343 22-Dec-2017

1007.4146 1007.4146 1007.4146 22-Dec-2017


1003.3596 1003.3596 1003.3596 27-Oct-2017
2210.6876 2210.6876 2210.6876 27-Oct-2017
1002 1002 1002 27-Oct-2017
1007.6515 1007.6515 1007.6515 22-Dec-2017
2312.4003 2312.4003 2312.4003 22-Dec-2017
1002.8622 1002.8622 1002.8622 22-Dec-2017
1011.1229 1011.1229 1011.1229 22-Dec-2017
2238.1221 2238.1221 2238.1221 22-Dec-2017
1010.1653 1010.1653 1010.1653 22-Dec-2017
1002.47 1002.47 1002.47 22-Dec-2017
16.3288 16.2472 16.3288 27-Oct-2017
26.9225 26.7879 26.9225 27-Oct-2017
26.2821 26.1507 26.2821 22-Dec-2017
15.1563 15.0805 15.1563 22-Dec-2017
16.3719 16.29 16.3719 22-Dec-2017
27.6211 27.483 27.6211 22-Dec-2017
16.7724 16.6047 16.7724 27-Oct-2017
54.2079 53.6658 54.2079 22-Dec-2017
13.6658 13.5291 13.6658 22-Dec-2017
30.8656 30.5569 30.8656 22-Dec-2017
11.961 11.8414 11.961 27-Oct-2017
30.2971 29.9941 30.2971 22-Dec-2017
16.075 15.9143 16.075 27-Oct-2017
52.2587 51.7361 52.2587 22-Dec-2017
13.1117 12.9806 13.1117 22-Dec-2017
11.6609 11.5443 11.6609 27-Oct-2017
12.9682 12.8385 12.9682 22-Dec-2017
27.9473 27.6678 27.9473 27-Oct-2017
15.277 15.1242 15.277 27-Oct-2017
26.5275 26.2622 26.5275 22-Dec-2017
27.9238 27.6446 27.9238 22-Dec-2017
13.6443 13.5079 13.6443 22-Dec-2017
19.1924 18.6166 19.1924 22-Dec-2017
20.476 19.8617 20.476 22-Dec-2017
32.9397 32.9397 32.9397 22-Dec-2017
15.6385 15.6385 15.6385 22-Dec-2017
17.4631 17.4631 17.4631 22-Dec-2017
15.0734 15.0734 15.0734 22-Dec-2017
16.8442 16.8442 16.8442 22-Dec-2017
31.7905 31.7905 31.7905 22-Dec-2017
1770.6886 1770.6886 1770.6886 19-May-2016
1003.3258 1003.3258 1003.3258 22-Dec-2017
1003.345 1003.345 1003.345 22-Dec-2017
2604.6809 2604.6809 2604.6809 22-Dec-2017
1652.2699 1652.2699 1652.2699 22-Dec-2017
1007.8784 1007.8784 1007.8784 22-Dec-2017
2583.6573 2583.6573 2583.6573 22-Dec-2017
1007.8619 1007.8619 1007.8619 22-Dec-2017
1639.247 1639.247 1639.247 22-Dec-2017

9.8158 9.7176 9.8158 22-Dec-2017


14.7826 14.6348 14.7826 22-Dec-2017
9.8897 9.7908 9.8897 22-Dec-2017
15.234 15.0817 15.234 22-Dec-2017
1471.2451 1467.567 1471.2451 22-Dec-2017
2752.2623 2745.3816 2752.2623 22-Dec-2017
1468.9652 1465.2928 1468.9652 22-Dec-2017
2722.5596 2715.7532 2722.5596 22-Dec-2017
959.2854 959.2854 959.2854 22-Dec-2017
895.2542 895.2542 895.2542 18-May-2017
958.644 958.644 958.644 22-Dec-2017
1795.1483 1795.1483 1795.1483 22-Dec-2017
955.8829 955.8829 955.8829 22-Dec-2017
1862.0865 1862.0865 1862.0865 22-Dec-2017
956.8334 956.8334 956.8334 22-Dec-2017
961.0086 961.0086 961.0086 22-Dec-2017
1894.0611 1894.0611 1894.0611 22-Dec-2017
962.0708 962.0708 962.0708 22-Dec-2017
11.2498 11.1936 11.2498 22-Dec-2017
15.5046 15.4271 15.5046 22-Dec-2017
10.7519 10.6981 10.7519 22-Dec-2017
14.9701 14.8952 14.9701 22-Dec-2017
1001.1355 1001.1355 1001.1355 22-Dec-2017
1001.1421 1001.1421 1001.1421 22-Dec-2017
1003.6525 1003.6525 1003.6525 22-Dec-2017
1557.2641 1557.2641 1557.2641 22-Dec-2017
1006.1473 1006.1473 1006.1473 22-Dec-2017
1003.5276 1003.5276 1003.5276 22-Dec-2017
1003.6266 1003.6266 1003.6266 22-Dec-2017
1550.8863 1550.8863 1550.8863 22-Dec-2017
1006.0877 1006.0877 1006.0877 22-Dec-2017
1003.5167 1003.5167 1003.5167 22-Dec-2017

147.2583 147.2583 147.2583 22-Dec-2017


151.2796 151.2796 151.2796 22-Dec-2017
351.8334 351.8334 351.8334 22-Dec-2017
359.5885 359.5885 359.5885 22-Dec-2017
35.1485 35.1485 35.1485 22-Dec-2017
36.1268 36.1268 36.1268 22-Dec-2017
12.3616 12.3616 12.3616 22-Dec-2017
12.7891 12.7891 12.7891 22-Dec-2017
36.1887 36.1887 36.1887 22-Dec-2017
37.417 37.417 37.417 22-Dec-2017
39.0531 39.0531 39.0531 22-Dec-2017
40.3164 40.3164 40.3164 22-Dec-2017
15.7544 15.7544 15.7544 22-Dec-2017
16.3522 16.3522 16.3522 22-Dec-2017
39.073 39.073 39.073 22-Dec-2017
39.6601 39.6601 0 22-Dec-2017
26.1247 26.1247 26.1247 22-Dec-2017
26.8619 26.8619 26.8619 22-Dec-2017
11.0217 11.0217 0 22-Dec-2017
11.0623 11.0623 0 22-Dec-2017
15.8811 15.8811 15.8811 22-Dec-2017
30.0422 30.0422 30.0422 22-Dec-2017
10.5973 10.5973 0 22-Dec-2017
13.3138 13.3138 0 22-Dec-2017
10.4591 10.4591 0 22-Dec-2017
10.7552 10.7552 0 22-Dec-2017
13.1593 13.1593 0 22-Dec-2017
13.0168 13.0168 0 22-Dec-2017
20.8098 20.8098 20.8098 22-Dec-2017
21.2874 21.2874 21.2874 22-Dec-2017
12.3672 12.3672 12.3672 22-Dec-2017
13.0279 13.0279 13.0279 22-Dec-2017
24.597 24.597 24.597 22-Dec-2017
25.2573 25.2573 25.2573 22-Dec-2017
11.0656 11.0656 0 4-Nov-2016
11.2542 11.2542 0 22-Dec-2017
11.4101 11.4101 0 22-Dec-2017
11.257 11.257 0 22-Dec-2017
11.7144 11.7144 0 22-Dec-2017
10.779 10.779 0 22-Dec-2017
17.2347 17.2347 17.2347 22-Dec-2017
51.4477 51.4477 51.4477 22-Dec-2017
53.8735 53.8735 53.8735 22-Dec-2017
14.4263 14.4263 14.4263 22-Dec-2017
22.7883 22.7883 22.7883 22-Dec-2017
22.9392 22.9392 22.9392 22-Dec-2017
11.4367 11.4367 0 22-Dec-2017
15.895 15.895 15.895 22-Dec-2017
11.5866 11.5866 11.5866 22-Dec-2017
20.4224 20.4224 20.4224 22-Dec-2017
11.1871 11.1871 0 22-Dec-2017
11.3559 11.3559 0 22-Dec-2017
11.4342 11.4342 0 22-Dec-2017
19.807 19.807 19.807 22-Dec-2017
10.9182 10.9182 0 22-Dec-2017
12.0469 12.0469 12.0469 22-Dec-2017
10 0 0 4-May-2017
13.6259 0 0 22-Dec-2017
13.7081 0 0 22-Dec-2017
10.4253 0 0 22-Dec-2017
10 0 0 4-May-2017
15.567 15.567 0 22-Dec-2017
16.5391 16.5391 0 22-Dec-2017
11.7329 11.7329 0 22-Dec-2017
12.3417 12.3417 0 22-Dec-2017
11.3503 11.3503 0 22-Dec-2017
11.6872 11.6872 0 22-Dec-2017
11.4498 11.4498 0 22-Dec-2017
11.2193 11.2193 0 22-Dec-2017
11.0689 11.0689 0 22-Dec-2017
11.1146 11.1146 0 22-Dec-2017
10.3989 10.3989 0 22-Dec-2017
11.1925 11.1925 0 22-Dec-2017
11.3825 11.3825 0 22-Dec-2017
11.3884 11.3884 0 22-Dec-2017
12.8292 12.8292 0 22-Dec-2017
11.0768 11.0768 0 22-Dec-2017
10.6208 10.6208 0 22-Dec-2017
11.0469 11.0469 0 22-Dec-2017
11.1289 11.1289 0 22-Dec-2017
10.6124 10.6124 0 22-Dec-2017
12.5646 12.5646 0 22-Dec-2017
10.8123 10.8123 0 22-Dec-2017
10.3749 10.3749 0 22-Dec-2017
10.7971 10.7971 0 22-Dec-2017
36.8004 36.8004 36.8004 22-Dec-2017
37.7164 37.7164 37.7164 22-Dec-2017
36.8008 36.8008 36.8008 22-Dec-2017
37.7134 37.7134 37.7134 22-Dec-2017
1026.5592 1026.5592 1026.5592 22-Dec-2017
1027.7631 1027.7631 1027.7631 22-Dec-2017
1086.5119 1086.5119 0 22-Dec-2017
1258.2032 1258.2032 1258.2032 22-Dec-2017
1138.8875 1138.8875 1138.8875 22-Dec-2017
1269.8687 1269.8687 1269.8687 22-Dec-2017
1668.9618 1668.9618 0 22-Dec-2017
2306.6416 2306.6416 0 22-Dec-2017
2861.5969 2861.5969 0 22-Dec-2017
4292.8677 4292.8677 0 22-Dec-2017
1068.756 1068.756 1068.756 22-Dec-2017
1120.2862 1120.2862 1120.2862 22-Dec-2017
1965.2225 1965.2225 1965.2225 22-Dec-2017
1976.3234 1976.3234 1976.3234 22-Dec-2017
1002.2622 1002.2622 1002.2622 22-Dec-2017
1002.3066 1002.3066 1002.3066 22-Dec-2017
2351.3362 2351.3362 2351.3362 22-Dec-2017
2368.5742 2368.5742 2368.5742 22-Dec-2017
1003.6404 1003.6404 1003.6404 22-Dec-2017
1022.0476 1022.0476 1022.0476 22-Dec-2017
1262.7877 1262.7877 0 22-Dec-2017
1093.1511 1093.1511 1093.1511 22-Dec-2017
1088.0144 1088.0144 0 22-Dec-2017
1047.8258 1047.8258 0 22-Dec-2017
1006.6031 1006.6031 0 22-Dec-2017
1049.5024 1049.5024 0 22-Dec-2017
10.8992 10.8992 0 22-Dec-2017
10.5416 10.5416 0 22-Dec-2017
10.7807 10.7807 0 22-Dec-2017
12.1051 12.1051 0 22-Dec-2017
11.8585 11.8585 0 22-Dec-2017
10.8654 10.8654 0 22-Dec-2017
10.5409 10.5409 0 22-Dec-2017
11.8423 11.8423 0 22-Dec-2017
13.9903 13.9903 0 22-Dec-2017
14.0471 14.0471 0 22-Dec-2017
10.9248 10.9248 0 22-Dec-2017
11.7767 11.7767 0 22-Dec-2017

100.195 100.195 100.195 25-Dec-2017


100.195 100.195 100.195 25-Dec-2017
114.2659 114.2659 114.2659 25-Dec-2017
148.8246 148.8246 148.8246 25-Dec-2017
273.1105 273.1105 273.1105 25-Dec-2017
274.1145 274.1145 274.1145 25-Dec-2017
108.023 108.023 108.023 25-Dec-2017
100.2763 100.2763 100.2763 25-Dec-2017
100.277 100.277 100.277 25-Dec-2017
183.5611 183.5611 183.5611 25-Dec-2017
454.8111 454.8111 454.8111 25-Dec-2017
108.1233 108.1233 108.1233 25-Dec-2017
163.694 163.694 163.694 25-Dec-2017
443.1966 443.1966 443.1966 25-Dec-2017
100.02 100.02 100.02 25-Dec-2017
100.02 100.02 100.02 25-Dec-2017
226.8059 226.8059 226.8059 25-Dec-2017
227.6274 227.6274 227.6274 25-Dec-2017
100.015 100.015 100.015 25-Dec-2017
279.5011 279.5011 279.5011 25-Dec-2017
103.8017 103.8017 103.8017 25-Dec-2017
100.1307 100.1307 100.1307 25-Dec-2017
100.1317 100.1317 100.1317 25-Dec-2017

1000.8759 1000.8759 1000.8759 25-Dec-2017


1891.6136 1891.6136 1891.6136 25-Dec-2017
1000.6413 1000.6413 1000.6413 25-Dec-2017
1891.7315 1891.7315 1891.7315 25-Dec-2017
1005.1259 1005.1259 1005.1259 25-Dec-2017
1003.3337 1003.3337 1003.3337 25-Dec-2017
1885.3393 1885.3393 1885.3393 25-Dec-2017
1005.4575 1005.4575 1005.4575 25-Dec-2017
1000.6413 1000.6413 1000.6413 25-Dec-2017
1792.7288 1792.7288 1792.7288 25-Dec-2017
1004.6102 1004.6102 1004.6102 25-Dec-2017
1001.6423 1001.6423 1001.6423 25-Dec-2017
1003.3237 1003.3237 1003.3237 25-Dec-2017

1668.405 1668.405 1668.405 3-Nov-2015


1001.1191 1001.1191 1001.1191 25-Dec-2017
1952.5143 1952.5143 1952.5143 25-Dec-2017
1001.2318 1001.2318 1001.2318 25-Dec-2017
1961.961 1961.961 1961.961 25-Dec-2017
1001.8422 1001.8422 1001.8422 25-Dec-2017
1961.6242 1961.6242 1961.6242 25-Dec-2017
1220.4695 1220.4695 1220.4695 25-Dec-2017
0 0 0 3-May-2013
1001.3268 1001.3268 1001.3268 29-Jun-2014
2873.117 2873.117 2873.117 25-Dec-2017
1006.0602 1006.0602 1006.0602 25-Dec-2017
2461.5538 2461.5538 2461.5538 25-Dec-2017

1000.49 1000.49 1000.49 25-Dec-2017


1000.8846 1000.8846 1000.8846 25-Dec-2017
2609.7527 2609.7527 2609.7527 25-Dec-2017
1004.2951 1004.2951 1004.2951 25-Dec-2017
1004.2484 1004.2484 1004.2484 25-Dec-2017
1000.9076 1000.9076 1000.9076 25-Dec-2017
1000.915 1000.915 1000.915 25-Dec-2017
2620.6866 2620.6866 2620.6866 25-Dec-2017
1000.9294 1000.9294 1000.9294 25-Dec-2017
1100.212 1100.212 1100.212 25-Dec-2017
1103.5602 1103.5602 1103.5602 25-Dec-2017
1098.7405 1098.7405 1098.7405 25-Dec-2017
1100.6948 1100.6948 1100.6948 25-Dec-2017
1004.3856 1004.3856 1004.3856 25-Dec-2017
2470.1708 2470.1708 2470.1708 25-Dec-2017

1000 1000 1000 25-Dec-2017


1013.599 1013.599 1013.599 25-Dec-2017
1000 1000 1000 25-Dec-2017
1013.5987 1013.5987 1013.5987 25-Dec-2017
1002.6483 1002.6483 1002.6483 25-Dec-2017
1965.837 1965.837 1965.837 25-Dec-2017
1062.8981 1062.8981 1062.8981 25-Dec-2017
1002.1069 1002.1069 1002.1069 25-Dec-2017
1956.1394 1956.1394 1956.1394 25-Dec-2017
1002.5642 1002.5642 1002.5642 25-Dec-2017

1121.5858 1121.5858 1121.5858 25-Dec-2017


2063.6718 2063.6718 2063.6718 25-Dec-2017
1000.8657 1000.8657 1000.8657 25-Dec-2017
1005.5 1005.5 1005.5 27-Jan-2017
2853.2956 2853.2956 2853.2956 27-Jan-2017
1005.5 1005.5 1005.5 25-Dec-2017
1477.458 1477.458 1477.458 25-Dec-2017
1004.4871 1004.4871 1004.4871 25-Dec-2017
1005.5 1005.5 1005.5 25-Dec-2017
2059.4643 2059.4643 2059.4643 25-Dec-2017
1004.4657 1004.4657 1004.4657 25-Dec-2017
1000.8616 1000.8616 1000.8616 25-Dec-2017
1007 1007 1007 27-Jan-2017
2769.6413 2769.6413 2769.6413 27-Jan-2017
1005.8395 1005.8395 1005.8395 27-Jan-2017
1005.8396 1005.8396 1005.8396 27-Jan-2017

131.3262 131.3262 131.3262 25-Dec-2017


139.0112 139.0112 139.0112 25-Dec-2017
151.0412 151.0412 151.0412 25-Dec-2017
133.9849 133.9849 133.9849 25-Dec-2017
138.2962 138.2962 138.2962 1-Aug-2016
137.5428 137.5428 137.5428 22-Oct-2017
100.304 100.304 100.304 25-Dec-2017
221.6801 221.6801 221.6801 25-Dec-2017
106.5537 106.5537 106.5537 25-Dec-2017
145.1232 145.1232 145.1232 25-Dec-2017
100.559 100.559 100.559 25-Dec-2017
132.9596 132.9596 132.9596 1-Aug-2016
106.2926 106.2926 106.2926 25-Dec-2017
13.3613 13.3613 13.3613 25-Dec-2017
109.156 109.156 109.156 25-Dec-2017
105.0105 105.0105 105.0105 25-Dec-2017
104.9103 104.9103 104.9103 25-Dec-2017
109.2998 109.2998 109.2998 25-Dec-2017
100.5586 100.5586 100.5586 25-Dec-2017
220.9356 220.9356 220.9356 25-Dec-2017
100.304 100.304 100.304 25-Dec-2017
10.301 10.301 10.301 25-Dec-2017
10.0321 10.0321 10.0321 25-Dec-2017
10.3554 10.3554 10.3554 25-Dec-2017
25.3094 25.3094 25.3094 25-Dec-2017
10.0516 10.0516 10.0516 25-Dec-2017
24.0015 24.0015 24.0015 25-Dec-2017
126.1401 126.1401 126.1401 25-Dec-2017
143.0143 143.0143 143.0143 25-Dec-2017

1000.8071 1000.8071 1000.8071 25-Dec-2017


2439.5428 2439.5428 2439.5428 25-Dec-2017
1001.5155 1001.5155 1001.5155 25-Dec-2017
2429.0589 2429.0589 2429.0589 25-Dec-2017
1001.5045 1001.5045 1001.5045 25-Dec-2017
1000.8071 1000.8071 1000.8071 25-Dec-2017
10.0117 10.0117 10.0117 8-Sep-2017
39.1078 39.1078 39.1078 8-Sep-2017
12.4125 12.4125 12.4125 8-Sep-2017

1036.0572 1036.0572 1036.0572 25-Dec-2017


1275.6258 1275.6258 1275.6258 25-Dec-2017
1001.01 1001.01 1001.01 25-Dec-2017
2174.5849 2174.5849 2174.5849 25-Dec-2017
2192.6116 2192.6116 2192.6116 25-Dec-2017
2173.481 2173.481 2173.481 25-Dec-2017
1508.9693 1508.9693 1508.9693 25-Dec-2017
1270.4942 1270.4942 1270.4942 25-Dec-2017
1002.79 1002.79 1002.79 25-Dec-2017
2156.4292 2156.4292 2156.4292 25-Dec-2017
2181.0656 2181.0656 2181.0656 25-Dec-2017
1008.1186 1008.1186 1008.1186 25-Dec-2017
1018.9002 1018.9002 1018.9002 25-Dec-2017
1001.9 1001.9 1001.9 25-Dec-2017
1983.5984 1983.5984 1983.5984 25-Dec-2017
1034.3993 1034.3993 1034.3993 25-Dec-2017
1022.3248 1022.3248 1022.3248 25-Dec-2017
1000 1000 1000 25-Dec-2017
1048.939 1048.939 1048.939 25-Dec-2017
1000 1000 1000 25-Dec-2017
1048.9473 1048.9473 1048.9473 25-Dec-2017

13.677 13.677 13.677 25-Dec-2017


13.7692 13.7692 13.7692 25-Dec-2017
26.6355 26.6355 26.6355 25-Dec-2017
26.7585 26.7585 26.7585 25-Dec-2017
15.1812 15.1812 15.1812 25-Dec-2017
15.2894 15.2894 15.2894 25-Dec-2017
13.5688 13.5688 13.5688 25-Dec-2017
13.7976 13.7976 13.7976 25-Dec-2017

1001.29 1001.29 1001.29 25-Dec-2017


1006.7942 1006.7942 1006.7942 25-Dec-2017
1001.6781 1001.6781 1001.6781 25-Dec-2017
1879.8048 1879.8048 1879.8048 25-Dec-2017
1006.7 1006.7 1006.7 25-Dec-2017
1001.29 1001.29 1001.29 25-Dec-2017
1871.9694 1871.9694 1871.9694 25-Dec-2017
1001.6975 1001.6975 1001.6975 25-Dec-2017
1000 1000 1000 25-Dec-2017
1876.0351 1876.0351 1876.0351 25-Dec-2017

10.0106 10.0106 10.0106 25-Dec-2017


26.643 26.643 26.643 25-Dec-2017
10.0127 10.0127 10.0127 25-Dec-2017
25.6403 25.6403 25.6403 25-Dec-2017
1000.6505 1000.6505 1000.6505 25-Dec-2017
2601.0721 2601.0721 2601.0721 25-Dec-2017
1054.7184 1054.7184 1054.7184 25-Dec-2017
2551.9186 2551.9186 2551.9186 25-Dec-2017
1001.8422 1001.8422 1001.8422 25-Dec-2017
1021.3891 1021.3891 1021.3891 25-Dec-2017
10.8438 10.8438 10.8438 25-Dec-2017
10.8438 10.8438 10.8438 25-Dec-2017
1512.2956 1512.2956 1512.2956 25-Dec-2017
4024.3293 4024.3293 4024.3293 25-Dec-2017
1244.3238 1244.3238 1244.3238 25-Dec-2017
1000.7051 1000.7051 1000.7051 25-Dec-2017
2544.3433 2544.3433 2544.3433 25-Dec-2017
1021.1243 1021.1243 1021.1243 25-Dec-2017

1042.66 1042.66 1042.66 25-Dec-2017


2607.6132 2607.6132 2607.6132 25-Dec-2017
1042.66 1042.66 1042.66 25-Dec-2017
2615.1478 2615.1478 2615.1478 25-Dec-2017
1063.64 1063.64 1063.64 25-Dec-2017
3536.4584 3536.4584 3536.4584 25-Dec-2017
1063.0119 1063.0119 1063.0119 25-Dec-2017
1063.64 1063.64 1063.64 25-Dec-2017
3559.0987 3559.0987 3559.0987 25-Dec-2017
1063.0293 1063.0293 1063.0293 25-Dec-2017
1019.82 1019.82 1019.82 25-Dec-2017
3362.4353 3362.4353 3362.4353 25-Dec-2017
1031.2101 1031.2101 1031.2101 25-Dec-2017
1032.2522 1032.2522 1032.2522 25-Dec-2017
1019.82 1019.82 1019.82 25-Dec-2017
1031.1293 1031.1293 1031.1293 25-Dec-2017
1032.2336 1032.2336 1032.2336 25-Dec-2017
3350.2411 3350.2411 3350.2411 25-Dec-2017
1225.98 1225.98 1225.98 25-Dec-2017
10 10 10 14-Apr-2015
10 10 10 14-May-2012
10 10 10 17-Dec-2012
3414.9269 3414.9269 3414.9269 25-Dec-2017

1695.3516 1695.3516 1695.3516 25-Dec-2017


1699.4649 1699.4649 1699.4649 25-Dec-2017
1000.56 1000.56 1000.56 25-Dec-2017
1000.56 1000.56 1000.56 25-Dec-2017
10.0651 10.0651 10.0651 28-Dec-2012
11.4467 11.4467 11.4467 28-Dec-2012
10 10 10 28-Dec-2012
18.2843 18.2843 18.2843 28-Dec-2012
2674.1475 2674.1475 2674.1475 25-Dec-2017
1005.0758 1005.0758 1005.0758 25-Dec-2017
1013.5448 1013.5448 1013.5448 25-Dec-2017
17.977 17.977 17.977 28-Dec-2012
1002.457 1002.457 1002.457 25-Dec-2017
1019.3 1019.3 1019.3 25-Dec-2017
1000 1000 1000 25-Dec-2017
1116.0973 1116.0973 1116.0973 25-Dec-2017
1000 1000 1000 25-Dec-2017
1116.0973 1116.0973 1116.0973 25-Dec-2017
1111.6371 1111.6371 1111.6371 25-Dec-2017
1111.6494 1111.6494 1111.6494 25-Dec-2017
1259.1258 1259.1258 1259.1258 25-Dec-2017
2545.2594 2545.2594 2545.2594 25-Dec-2017

101.8879 101.8879 101.8879 25-Dec-2017


118.5152 118.5152 118.5152 25-Dec-2017
101.668 101.668 101.668 25-Dec-2017
100.0685 100.0685 100.0685 25-Dec-2017
127.3349 127.3349 127.3349 25-Dec-2017
252.3542 252.3542 252.3542 25-Dec-2017
106.1339 106.1339 106.1339 25-Dec-2017
102.6645 102.6645 102.6645 25-Dec-2017
100.3048 100.3048 100.3048 25-Dec-2017
127.1248 127.1248 127.1248 25-Dec-2017
105.0813 105.0813 105.0813 25-Dec-2017
100.2783 100.2783 100.2783 25-Dec-2017
101.6495 101.6495 101.6495 25-Dec-2017
100.0989 100.0989 100.0989 25-Dec-2017
251.6663 251.6663 251.6663 25-Dec-2017
121.0704 121.0704 121.0704 8-Mar-2017
100.7261 100.7261 100.7261 25-Dec-2017
127.643 127.643 127.643 25-Dec-2017
237.8536 237.8536 237.8536 25-Dec-2017
111.0668 111.0668 111.0668 25-Dec-2017
111.0668 111.0668 111.0668 25-Dec-2017
100.5857 100.5857 100.5857 25-Dec-2017
399.6937 399.6937 399.6937 25-Dec-2017
118.5022 118.5022 118.5022 25-Dec-2017
118.6133 118.6133 118.6133 28-Sep-2015
118.5142 118.5142 118.5142 25-Dec-2017
389.7081 389.7081 389.7081 25-Dec-2017
100.5997 100.5997 100.5997 25-Dec-2017
118.9571 118.9571 118.9571 25-Dec-2017
126.9236 126.9236 126.9236 25-Dec-2017
118.0134 118.0134 118.0134 21-Nov-2016
100.1098 100.1098 100.1098 25-Dec-2017
100.1435 100.1435 100.1435 25-Dec-2017
120.1506 120.1506 120.1506 25-Dec-2017
100.7672 100.7672 100.7672 25-Dec-2017
236.0114 236.0114 236.0114 25-Dec-2017
100.9176 100.9176 100.9176 25-Dec-2017
100.5331 100.5331 100.5331 25-Dec-2017
260.2043 260.2043 260.2043 25-Dec-2017
100.1295 100.1295 100.1295 25-Dec-2017
119.9055 119.9055 119.9055 25-Dec-2017
235.1621 235.1621 235.1621 25-Dec-2017
100.76 100.76 100.76 25-Dec-2017
100.1851 100.1851 100.1851 25-Dec-2017
100.3775 100.3775 100.3775 25-Dec-2017

1369.8898 1369.8898 1369.8898 25-Dec-2017


1363.0395 1363.0395 1363.0395 25-Dec-2017
1826.5224 1826.5224 1826.5224 25-Dec-2017
1008.3642 1008.3642 1008.3642 25-Dec-2017
1006.9993 1006.9993 1006.9993 25-Dec-2017
1005.2683 1005.2683 1005.2683 25-Dec-2017
1002.3548 1002.3548 1002.3548 25-Dec-2017
1817.3806 1817.3806 1817.3806 25-Dec-2017
1013.6631 1013.6631 1013.6631 25-Dec-2017
1002.7745 1002.7745 1002.7745 25-Dec-2017

0 0 0 2-Oct-2008
1001.6663 1001.6663 1001.6663 25-Dec-2017
2071.5214 2071.5214 2071.5214 25-Dec-2017
1011.592 1011.592 1011.592 25-Dec-2017
1280.3009 1280.3009 1280.3009 25-Dec-2017
1007.4968 1007.4968 1007.4968 25-Dec-2017
1001.0846 1001.0846 1001.0846 25-Dec-2017
2065.2735 2065.2735 2065.2735 25-Dec-2017
1004.79 1004.79 1004.79 25-Dec-2017
1361.9106 1361.9106 1361.9106 25-Dec-2017
1001.6149 1001.6149 1001.6149 25-Dec-2017
1.103 1.103 1.103 25-Dec-2017
1 1 1 25-Dec-2017
1.103 1.103 1.103 25-Dec-2017
1 1 1 25-Dec-2017
1058.19000135 1058.19000135 1058.19000135 17-Feb-2017
2754.14997588 2754.14997588 2754.14997588 17-Feb-2017
1003.0031246 1003.0031246 1003.0031246 17-Feb-2017
1057.0519 1057.0519 1057.0519 13-May-2015
1002.13111715 1002.13111715 1002.13111715 17-Feb-2017
2792.37692461 2792.37692461 2792.37692461 17-Feb-2017
1001.737 1001.737 1001.737 30-Jul-2014
1063.1499 1063.1499 1063.1499 6-Mar-2013
1000.0466 1000.0466 1000.0466 25-Dec-2017
1345.5964 1345.5964 1345.5964 25-Dec-2017
1005.9985 1005.9985 1005.9985 17-Apr-2017
1000.0791 1000.0791 1000.0791 25-Dec-2017
1342.8205 1342.8205 1342.8205 25-Dec-2017
1005.9509 1005.9509 1005.9509 25-Dec-2017

1001.1451 1001.1451 1001.1451 25-Dec-2017


1001.06 1001.06 1001.06 25-Dec-2017
1002.6713 1002.6713 1002.6713 25-Dec-2017
1667.2402 1667.2402 1667.2402 25-Dec-2017
1033.15 1033.15 1033.15 25-Dec-2017
1001.762 1001.762 1001.762 25-Dec-2017
1002.7591 1002.7591 1002.7591 25-Dec-2017
1659.2447 1659.2447 1659.2447 25-Dec-2017
1004.4926 1004.4926 1004.4926 25-Dec-2017
1002.8146 1002.8146 1002.8146 25-Dec-2017

2340.4087 2340.4087 2340.4087 25-Dec-2017


1001.6232 1001.6232 1001.6232 25-Dec-2017
2348.2383 2348.2383 2348.2383 25-Dec-2017
1026.5961 1026.5961 1026.5961 25-Dec-2017
1019.0551 1019.0551 1019.0551 25-Dec-2017
1000.79 1000.79 1000.79 25-Dec-2017
2340.4389 2340.4389 2340.4389 25-Dec-2017
1007.4521 1007.4521 1007.4521 25-Dec-2017
2156.7486 2156.7486 2156.7486 25-Dec-2017
1002.0016 1002.0016 1002.0016 25-Dec-2017
1112.7641 1112.7641 1112.7641 25-Dec-2017
1112.7647 1112.7647 1112.7647 25-Dec-2017
1003.1534 1003.1534 1003.1534 25-Dec-2017

24.7152 24.7152 24.7152 27-Apr-2017


10.0891 10.0891 10.0891 27-Apr-2017
24.6415 24.6415 24.6415 27-Apr-2017
11.6172 11.6172 11.6172 27-Apr-2017
24.7325 24.7325 24.7325 27-Apr-2017
24.588 24.588 24.588 27-Apr-2017
10.0883 10.0883 10.0883 27-Apr-2017
24.5068 24.5068 24.5068 27-Apr-2017
24.588 24.588 24.588 27-Apr-2017
11.7559 11.7559 11.7559 27-Apr-2017
14.8967 14.8967 14.8967 25-Dec-2017
10.4302 10.4302 10.4302 25-Dec-2017
11.0175 11.0175 11.0175 25-Dec-2017
15.0109 15.0109 15.0109 25-Dec-2017
10.4302 10.4302 10.4302 25-Dec-2017
46.7064 46.7064 46.7064 25-Dec-2017
26.5171 26.5171 26.5171 25-Dec-2017
11.0149 11.0149 11.0149 25-Dec-2017
46.7083 46.7083 46.7083 25-Dec-2017
41.4437 41.4437 41.4437 25-Dec-2017
46.7083 46.7083 46.7083 25-Dec-2017
41.4437 41.4437 41.4437 25-Dec-2017
10.7545 10.7545 10.7545 17-Jul-2013
22.9625 22.9625 22.9625 18-Mar-2015
26.3323 26.3323 26.3323 25-Dec-2017
46.523 46.523 46.523 25-Dec-2017
10.0159 10.0159 10.0159 1-Aug-2016
10.0165 10.0165 10.0165 14-Mar-2013
26.7517 26.7517 26.7517 25-Dec-2017
10.1653 10.1653 10.1653 11-Aug-2013

1011.62 1011.62 1011.62 25-Dec-2017


1011.62 1011.62 1011.62 25-Dec-2017
2792.6788 2792.6788 2792.6788 25-Dec-2017
2799.5536 2799.5536 2799.5536 25-Dec-2017
1013.1829 1013.1829 1013.1829 25-Dec-2017
1022.8622 1022.8622 1022.8622 25-Dec-2017
1008.917 1008.917 1008.917 25-Dec-2017
1003.5848 1003.5848 1003.5848 25-Dec-2017
1222.81 1222.81 1222.81 25-Dec-2017
3457.321 3457.321 3457.321 25-Dec-2017
1006.3407 1006.3407 1006.3407 25-Dec-2017
1222.81 1222.81 1222.81 25-Dec-2017
3448.8776 3448.8776 3448.8776 25-Dec-2017
1001.23 1001.23 1001.23 25-Dec-2017
3046.6062 3046.6062 3046.6062 21-Oct-2016
1011.079 1011.079 1011.079 23-Sep-2013
1002.9403 1002.9403 1002.9403 21-Oct-2016
2893.5255 2893.5255 2893.5255 21-Oct-2016

1028.8628 1028.8628 1028.8628 25-Dec-2017


1369.2524 1369.2524 1369.2524 25-Dec-2017
1023.3 1023.3 1023.3 25-Dec-2017
1059.6198 1059.6198 1059.6198 25-Dec-2017
1001.4242 1001.4242 1001.4242 25-Dec-2017
1927.0967 1922.279 1927.0967 4-Oct-2015
1023.3 1023.3 1023.3 25-Dec-2017
1328.0296 1328.0296 1328.0296 25-Dec-2017
1000.0318 1000.0318 1000.0318 25-Dec-2017
1877.9353 1877.9353 1877.9353 30-Dec-2014
1000.4408 1000.4408 1000.4408 25-Dec-2017
1012.8887 1012.8887 1012.8887 25-Dec-2017
2339.2483 2339.2483 2339.2483 25-Dec-2017
1001.6255 1001.6255 1001.6255 25-Dec-2017
2318.6887 2318.6887 2318.6887 20-Nov-2017
1011.7794 1011.7794 1011.7794 25-Dec-2017
2332.6866 2332.6866 2332.6866 25-Dec-2017
2881.1854 2881.1854 2881.1854 27-Aug-2015
3025.2376 3025.2376 3025.2376 14-Nov-2016

1098 1098 1098 25-Dec-2017


3093.4345 3093.4345 3093.4345 25-Dec-2017
1098 1098 1098 25-Dec-2017
3079.1253 3079.1253 3079.1253 25-Dec-2017

1000.1594 1000.1594 1000.1594 25-Dec-2017


1003.705 1003.705 1003.705 25-Dec-2017
1104.633 1104.633 1104.633 25-Dec-2017
1000.1594 1000.1594 1000.1594 25-Dec-2017
1102.2826 1102.2826 1102.2826 25-Dec-2017
1010.1092 1010.1092 1010.1092 25-Dec-2017

1066.4347 1066.4347 1066.4347 25-Dec-2017


1075.8332 1075.8332 1075.8332 25-Dec-2017
1800.1305 1800.1305 1800.1305 25-Dec-2017
1140.8649 1140.8649 1140.8649 25-Dec-2017
1217.2836 1217.2836 1217.2836 25-Dec-2017
1782.4687 1782.4687 1782.4687 25-Dec-2017
1158.5571 1158.5571 1158.5571 25-Dec-2017
1153.5559 1153.5559 1153.5559 25-Dec-2017

1000.8893 1000.8893 1000.8893 25-Dec-2017


1000.6367 1000.6367 1000.6367 25-Dec-2017
1007.6282 1007.6282 1007.6282 25-Dec-2017
1662.1108 1662.1108 1662.1108 25-Dec-2017
1024.505 1024.505 1024.505 25-Dec-2017
1007.1093 1007.1093 1007.1093 25-Dec-2017
1024.5416 1024.5416 1024.5416 25-Dec-2017
1655.5663 1655.5663 1655.5663 25-Dec-2017

10.0056 10.0056 10.0056 25-Dec-2017


23.4982 23.4982 23.4982 25-Dec-2017
10.0488 10.0488 10.0488 25-Dec-2017
10.0042 10.0042 10.0042 25-Dec-2017
23.489 23.489 23.489 25-Dec-2017
10.0481 10.0481 10.0481 25-Dec-2017

2754.7594 2754.7594 2754.7594 25-Dec-2017


1114.15 1114.15 1114.15 25-Dec-2017
1008.0499 1008.0499 1008.0499 25-Dec-2017
1010.3756 1010.3756 1010.3756 25-Dec-2017
1092.2786 1092.2786 1092.2786 25-Dec-2017
1528.74 1528.74 1528.74 25-Dec-2017
4161.3586 4161.3586 4161.3586 25-Dec-2017
1597.0913 1597.0913 1597.0913 25-Dec-2017
1006.7485 1006.7485 1006.7485 25-Dec-2017
1531.1124 1531.1124 1531.1124 25-Dec-2017
1114.15 1114.15 1114.15 25-Dec-2017
2651.0188 2651.0188 2651.0188 25-Dec-2017
1005.5035 1005.5035 1005.5035 25-Dec-2017
1004.2991 1004.2991 1004.2991 25-Dec-2017
1092.1942 1092.1942 1092.1942 25-Dec-2017
1004.4697 1004.4697 1004.4697 25-Dec-2017
1528.74 1528.74 1528.74 25-Dec-2017
4144.8685 4144.8685 4144.8685 25-Dec-2017
1593.6751 1593.6751 1593.6751 25-Dec-2017
1531.1026 1531.1026 1531.1026 25-Dec-2017
1524.28 1524.28 1524.28 25-Dec-2017
3857.6439 3857.6439 3857.6439 25-Dec-2017
1034.6304 1034.6304 1034.6304 25-Dec-2017
1333.8724 1333.8724 1333.8724 25-Dec-2017
1216.9004 1216.9004 1216.9004 25-Dec-2017
1000.51 1000.51 1000.51 25-Dec-2017
1511.1 1511.1 1511.1 25-Dec-2017
2569.8029 2569.8029 2569.8029 25-Dec-2017
1006.7065 1006.7065 1006.7065 25-Dec-2017
1004.0086 1004.0086 1004.0086 25-Dec-2017
1001.0789 1001.0789 1001.0789 25-Dec-2017
1000.51 1000.51 1000.51 25-Dec-2017
1006.6156 1006.6156 1006.6156 25-Dec-2017
1004.2363 1004.2363 1004.2363 25-Dec-2017
1001.0978 1001.0978 1001.0978 25-Dec-2017
1504.5518 1504.5518 1504.5518 25-Dec-2017
2558.4838 2558.4838 2558.4838 25-Dec-2017

1027.4373 1027.4373 1027.4373 25-Dec-2017


1192.6687 1192.6687 1192.6687 25-Dec-2017
1027.4373 1027.4373 1027.4373 25-Dec-2017
2921.3288 2921.3288 2921.3288 25-Dec-2017
2918.5931 2918.5931 2918.5931 25-Dec-2017
1043.3721 1043.3721 1043.3721 25-Dec-2017
1192.6687 1192.6687 1192.6687 25-Dec-2017
1043.3721 1043.3721 1043.3721 25-Dec-2017
1200.5598 1200.5598 1200.5598 25-Dec-2017
2977.6623 2977.6623 2977.6623 25-Dec-2017
1208.4867 1208.4867 1208.4867 25-Dec-2017
1038.8267 1038.8267 1038.8267 25-Dec-2017
2982.8691 2982.8691 2982.8691 25-Dec-2017
1208.4867 1208.4867 1208.4867 25-Dec-2017
1055.8972 1055.8972 1055.8972 25-Dec-2017
1221.5486 1221.5486 1221.5486 25-Dec-2017

1077.9634 1077.9634 1077.9634 25-Dec-2017


1077.9569 1077.9569 1077.9569 25-Dec-2017
1675.03 1675.03 1675.03 25-Dec-2017
1675.03 1675.03 1675.03 25-Dec-2017
3772.5727 3772.5727 3772.5727 25-Dec-2017
3757.6508 3757.6508 3757.6508 25-Dec-2017
1009.91 1009.91 1009.91 25-Dec-2017
1031.5113 1031.5113 1031.5113 25-Dec-2017
1031.5067 1031.5067 1031.5067 25-Dec-2017
1009.91 1009.91 1009.91 25-Dec-2017
2863.1086 2863.1086 2863.1086 25-Dec-2017
2841.6433 2841.6433 2841.6433 25-Dec-2017
1003.25 1003.25 1003.25 25-Dec-2017
1003.25 1003.25 1003.25 25-Dec-2017
1013.4227 1013.4227 1013.4227 25-Dec-2017
1013.4082 1013.4082 1013.4082 25-Dec-2017
2674.6029 2674.6029 2674.6029 25-Dec-2017
2666.4818 2666.4818 2666.4818 25-Dec-2017
1024.73 1024.73 1024.73 25-Dec-2017
1060.7147 1060.7147 1060.7147 25-Dec-2017
1003.25 1003.25 1003.25 25-Dec-2017
2691.5773 2691.5773 2691.5773 25-Dec-2017
1061.426 1061.426 1061.426 25-Dec-2017
1061.424 1061.424 1061.424 25-Dec-2017

12.8713 12.8713 12.8713 25-Dec-2017


10.1025 10.1025 10.1025 25-Dec-2017
25.9853 25.9853 25.9853 25-Dec-2017
35.9664 35.9664 35.9664 25-Dec-2017
10.72 10.72 10.72 25-Dec-2017
34.6503 34.6503 34.6503 25-Dec-2017
11.685 11.685 11.685 25-Dec-2017
33.4875 33.4875 33.4875 25-Dec-2017
10.0953 10.0953 10.0953 25-Dec-2017
10.9612 10.9612 10.9612 25-Dec-2017
10.5892 10.5892 10.5892 25-Dec-2017
12.1017 12.1017 12.1017 25-Dec-2017
11.6232 11.6232 11.6232 25-Dec-2017
10.0953 10.0953 10.0953 25-Dec-2017
10.9935 10.9935 10.9935 25-Dec-2017
12.8086 12.8086 12.8086 25-Dec-2017
35.8327 35.8327 35.8327 25-Dec-2017
10.576 10.576 10.576 25-Dec-2017
34.5621 34.5621 34.5621 25-Dec-2017
11.6658 11.6658 11.6658 25-Dec-2017
10.0953 10.0953 10.0953 25-Dec-2017
0 0 0 18-Dec-2013
34.944 34.944 34.944 25-Dec-2017
0 0 0 18-Dec-2013
0 0 0 18-Dec-2013
0 0 0 18-Dec-2013
10.7848 10.7848 10.7848 25-Dec-2017
10 10 10 25-Dec-2017
10.7937 10.7937 10.7937 25-Dec-2017
10 10 10 25-Dec-2017

3133.9128 3133.9128 3133.9128 25-Dec-2017


3145.2343 3145.2343 3145.2343 25-Dec-2017
1000 1000 1000 27-Oct-2017
1001.1999 1001.1999 1001.1999 27-Oct-2017
1114.52 1114.52 1114.52 25-Dec-2017
1000 1000 1000 27-Oct-2017
1114.52 1114.52 1114.52 25-Dec-2017
1001.1959 1001.1959 1001.1959 27-Oct-2017
1114.3379 1114.3379 1114.3379 27-Oct-2017
2709.4809 2709.4809 2709.4809 27-Oct-2017
0 0 0 1-Apr-2017
1147.653 1147.653 1147.653 24-Jul-2017
1116.8143 1116.8143 1116.8143 27-Oct-2017
1144.9739 1144.9739 1144.9739 27-Oct-2017
3672.385 3672.385 3672.385 27-Oct-2017

1002.0196 1002.0196 1002.0196 21-Feb-2017


1741.4606 1741.4606 1741.4606 11-Oct-2017
1735.6362 1735.6362 1735.6362 25-Dec-2017
994.3791 994.3791 994.3791 25-Dec-2017
993.999 993.999 993.999 25-Dec-2017
994.7532 994.7532 994.7532 25-Dec-2017
1741.4247 1741.4247 1741.4247 25-Dec-2017
995.6493 995.6493 995.6493 25-Dec-2017
993.1509 993.1509 993.1509 25-Dec-2017
2035.4765 2035.4765 2035.4765 25-Dec-2017

1000.6489 1000.6489 1000.6489 25-Dec-2017


1000.6506 1000.6506 1000.6506 25-Dec-2017
1002.7157 1002.7157 1002.7157 25-Dec-2017
1703.2173 1703.2173 1703.2173 25-Dec-2017
1005.1458 1005.1458 1005.1458 25-Dec-2017
1001.5174 1001.5174 1001.5174 25-Dec-2017
1002.6794 1002.6794 1002.6794 25-Dec-2017
1694.8504 1694.8504 1694.8504 25-Dec-2017
1005.0729 1005.0729 1005.0729 25-Dec-2017
1001.5011 1001.5011 1001.5011 25-Dec-2017

1228.009 1228.009 1228.009 25-Dec-2017


1228.2001 1228.2001 1228.2001 25-Dec-2017
1019.2352 1019.2352 0 30-Nov-2017
1090.9897 1090.9897 0 25-Dec-2017
1091.2677 1091.2677 0 25-Dec-2017
1065.55 1065.55 0 25-Dec-2017
1159.9723 1159.9723 0 25-Dec-2017
1159.4587 1159.4587 0 25-Dec-2017
1028.8985 1028.8985 1028.8985 25-Dec-2017
2622.8985 2622.8985 0 25-Dec-2017
1019.4457 1019.4457 1019.4457 25-Dec-2017
1019.4457 1019.4457 1019.4457 25-Dec-2017
2784.9291 2784.9291 2784.9291 25-Dec-2017
2792.7462 2792.7462 2792.7462 25-Dec-2017
1028.8808 1028.8808 1028.8808 25-Dec-2017
1053.8212 1053.8212 1053.8212 25-Dec-2017
1053.8264 1053.8264 1053.8264 25-Dec-2017
1175.5208 1175.5208 0 25-Dec-2017
1135.2422 1135.2422 0 25-Dec-2017
1012.0887 1012.0887 0 25-Dec-2017

10.04 10.04 10.04 22-Dec-2017


11.8554 11.8554 11.8554 22-Dec-2017
33.8362 33.8362 33.8362 22-Dec-2017
10.6304 10.6304 10.6304 22-Dec-2017
10.0564 10.0564 10.0564 22-Dec-2017
11.8285 11.8285 11.8285 22-Dec-2017
33.4235 33.4235 33.4235 22-Dec-2017
10.6074 10.6074 10.6074 22-Dec-2017
10 10 10 22-Dec-2017
11.0752 11.0752 11.0752 22-Dec-2017
10 10 10 22-Dec-2017
11.0752 11.0752 11.0752 22-Dec-2017

1001.5157 1001.5157 1001.5157 25-Dec-2017


2677.1592 2677.1592 2677.1592 25-Dec-2017
1015.3515 1015.3515 1015.3515 27-Oct-2017
2582.7319 2582.7319 2582.7319 27-Oct-2017
1001.5187 1001.5187 1001.5187 25-Dec-2017
2687.8743 2687.8743 2687.8743 25-Dec-2017

10 10 N.A. 22-Dec-2017
10 10 N.A. 22-Dec-2017
11.9578 11.9578 N.A. 22-Dec-2017
11.9578 11.9578 N.A. 22-Dec-2017

1134.3765 1134.3765 0 25-Dec-2017


1135.9392 1135.9392 0 25-Dec-2017
1022.8466 1022.8466 0 24-Jul-2017
1093.6147 1093.6147 0 25-Dec-2017
1179.0458 1179.0458 0 25-Dec-2017
1904.5269 1904.5269 1904.5269 25-Dec-2017
1913.8314 1913.8314 1913.8314 25-Dec-2017
1070.2986 1070.2986 0 25-Dec-2017
1050.7559 1050.7559 0 3-May-2017
1003.3854 1003.3854 1003.3854 25-Dec-2017
1014.3863 1014.3863 0 25-Dec-2017
1015.3375 1015.3375 1015.3375 25-Dec-2017
1015.3559 1015.3559 1015.3559 25-Dec-2017
1040.7113 1040.7113 1040.7113 25-Dec-2017
1110.8377 1110.8377 1110.8377 25-Dec-2017
4554.2291 4554.2291 0 25-Dec-2017
1003.3854 1003.3854 1003.3854 25-Dec-2017
2457.4348 2457.4348 0 25-Dec-2017
1993.236 1993.236 0 25-Dec-2017

111.8748 111.8748 111.8748 22-Dec-2017


347.904 347.904 347.904 22-Dec-2017
1053.8883 1053.8883 1053.8883 22-Dec-2017

11012.7899 11012.7899 11012.7899 22-Dec-2017


2593.5443 2593.5443 2593.5443 22-Dec-2017
257.8644 257.8644 257.8644 22-Dec-2017

1072.47 1072.47 1072.47 22-Dec-2017


3492.19 3492.19 3492.19 22-Dec-2017

38.0511 N.A. N.A. 22-Dec-2017


77.31 N.A. N.A. 22-Dec-2017
114.6856 N.A. N.A. 22-Dec-2017
107.75 N.A. N.A. 22-Dec-2017
81.32 N.A. N.A. 22-Dec-2017
47.93 N.A. N.A. 22-Dec-2017
353.7157 353.7157 353.7157 22-Dec-2017

105.9041 105.9041 105.9041 22-Dec-2017


343.3634 343.3634 343.3634 22-Dec-2017

1096.734 1096.734 1096.734 22-Dec-2017

261.6933 261.6933 261.6933 22-Dec-2017


106.1443 106.1443 106.1443 22-Dec-2017
48.7844 48.7844 48.7844 22-Dec-2017
383.0209 383.0209 383.0209 22-Dec-2017
343.438 343.438 343.438 22-Dec-2017

111.3123 111.3123 111.3123 22-Dec-2017


107.0174 107.0174 107.0174 22-Dec-2017
348.5915 348.5915 348.5915 22-Dec-2017
16.9351 16.9351 16.9351 22-Dec-2017

100.579 100.579 100.579 22-Dec-2017


21.5539 21.5539 21.5539 22-Dec-2017
407.6764 407.6764 407.6764 22-Dec-2017

1134.9922 1134.9922 1134.9922 22-Dec-2017

30.5572 30.5572 30.5572 22-Dec-2017


2603.6213 2603.6213 2603.6213 22-Dec-2017
52.8939 52.8939 52.8939 22-Dec-2017
28.7867 28.7867 28.7867 22-Dec-2017
2915.6002 2915.6002 2915.6002 22-Dec-2017
367.7338 367.7338 367.7338 22-Dec-2017
313.0404 313.0404 313.0404 22-Dec-2017
1000 1000 1000 25-Dec-2017
17.0537 17.0537 17.0537 22-Dec-2017
111.8354 111.8354 111.8354 22-Dec-2017
1082.2047 1082.2047 1082.2047 22-Dec-2017
488.2616 488.2616 488.2616 22-Dec-2017
424.9547 424.9547 424.9547 22-Dec-2017
354.11 354.11 354.11 22-Dec-2017
260.2121 260.2121 260.2121 22-Dec-2017

160.9973 160.9973 160.9973 22-Dec-2017


110.7501 110.7501 110.7501 22-Dec-2017
258.0136 258.0136 258.0136 22-Dec-2017
106.4632 106.4632 106.4632 22-Dec-2017
309.9646 309.9646 309.9646 22-Dec-2017
358.1158 358.1158 358.1158 22-Dec-2017

1083.0246 0 0 22-Dec-2017
308.572 308.572 0 22-Dec-2017
349.8125 0 0 22-Dec-2017

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