Profit

Reliance Floating Rate Fund - Growth

Fund Family: Reliance Nippon Mutual Fund | Fund Class: Floating Rate - Short Term | Launch Date: 02 Sep,2004

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29.77
Change Change %
0.0108 0.0363%

Updated: 24 Jun,2019 | 12:00 AM

Previous NAV 29.76
Quarterly Average AUM(in ₹ Cr.)
(As on 31 Mar 2019)
342.57
Expense Ratio 0.60

1 Month Range

29.50 29.77

52 Wk Range

27.41 29.77
Period:

Compare NAV performance of Reliance Floating Rate Fund(G) vs. Peers

Color code for Price performance of Reliance Floating Rate Fund(G)'s Peers

  • 7% and above
  • 3% to 7%
  • 1% to 3%
  • -1% to 1%
  • -3% to -1%
  • -7% to -3%
  • -7% and below

Scheme Performance -

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