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<< Prices as on Nov 14, 2025 - 3:39PM >>
ABB
4960
[1.02]
ACC
1840.9
[-0.17]
AMBUJA CEM
564.5
[0.94]
ASIAN PAINTS
2898.35
[0.67]
AXIS BANK
1245.75
[1.70]
BAJAJ AUTO
8848
[-0.22]
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286.3
[1.13]
BHARTI AIRTE
2095.9
[0.18]
BHEL
282.1
[0.34]
BPCL
371.5
[-0.95]
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5801.6
[-0.83]
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1530.2
[0.29]
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386.5
[0.83]
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2176.65
[0.11]
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523.2
[0.23]
DLF
763.75
[-0.10]
DRREDDYSLAB
1249.4
[1.20]
GAIL
183.75
[0.03]
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2779.05
[0.01]
HCLTECHNOLOG
1596.95
[-0.10]
HDFC BANK
989.5
[0.27]
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5538.6
[0.58]
HIND.UNILEV
2425.15
[0.74]
HINDALCO
802.3
[-1.21]
ICICI BANK
1374.05
[-0.86]
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721.35
[0.54]
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849.25
[-1.63]
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1506
[-2.36]
ITC LTD
408.35
[0.64]
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1079
[-0.80]
KOTAK BANK
2082.35
[0.37]
L&T
4005
[0.08]
LUPIN
2053.4
[0.02]
MAH&MAH
3694.95
[-0.11]
MARUTI SUZUK
15662.85
[-0.59]
MTNL
41
[0.59]
NESTLE
1270.45
[-0.34]
NIIT
101
[0.50]
NMDC
76.45
[-1.23]
NTPC
328.9
[0.50]
ONGC
247.55
[-1.34]
PNB
122.4
[1.16]
POWER GRID
271.15
[0.44]
RIL
1517.1
[0.43]
SBI
967.15
[1.32]
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525.5
[-0.75]
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265.5
[0.70]
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1757.75
[1.26]
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833.95
[-0.96]
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1153.5
[-0.15]
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392.85
[-1.31]
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174.1
[-1.42]
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388.8
[-0.04]
TCS
3111
[0.17]
TECH MAHINDR
1442.6
[-0.57]
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11878
[-0.51]
UNITED SPIRI
1429
[0.61]
WIPRO
245.25
[-0.04]
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100.6
[0.50]
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DIVIDEND DETAILS
You can view the dividend history of MF. Search for the scheme to get more details.
Aditya Birla Sun Life PSU Equity Fund
Fund :
Aditya Birla Sun Life Mutual Fund
Category :
Equity - Diversified
Type :
Open Ended
NAV(
13/11/2025
)
34.6300
Percentage Returns :
1 Month Ago :
3.68%
3 Months Ago :
8.05%
1 Year Ago :
7.11%
Dividend Date
Percentage
24/01/2025
18.04
25/01/2024
18.30
25/01/2023
9.85
25/01/2022
7.86