FundCase List with Metrics & % Change

FundCase ID FundCase # Schemes Latest NAV 1D % 1M % 3M % 6M % Actions
1 Stable Income Basket 3 172,685.15 0% -0.06% -0.05% 0.02%
2 Balanced Growth Basket 3 136,136.27 0% -1.12% -1.97% -1.69%
3 Aggressive Growth Basket 3 162,127.36 0% -2.14% -4.93% -4.75%
4 Banking & Financials 2 50,855.89 0% -2.21% -7.6% -7.95%
5 Liquidity & Safety 2 216,612.41 0% -0.03% -0.03% 0%
102 Diversified Winners 1 3 33.36 0% -9.91% -0.24% 18.03%
103 Diversified Winners 2 3 33.36 0% -9.91% -0.24% 18.03%
104 Diversified Winners 1 5 55.77 0% -7.95% -0.58% 15.85%
105 Diversified Winners 2 5 55.77 0% -7.95% -0.58% 15.85%
106 Diversified Winners 3 5 55.77 0% -7.95% -0.58% 15.85%
107 Diversified Winners 1 0 0.00 0% 0% 0% 0%
108 Diversified Winners 2 0 0.00 0% 0% 0% 0%
109 Diversified Winners 1 3 79.78 0% 7.32% 50.9% 85.15%
110 Diversified Winners 2 3 79.78 0% 7.32% 50.9% 85.15%
124 Diversified Winners 1 3 12,892.91 0.02% -50.03% -49.88% -44.1%
125 Diversified Winners 2 3 12,892.91 0.02% -50.03% -49.88% -44.1%
126 Diversified Winners 1 3 2,367.93 0.02% -84.54% -84.63% -81.63%
127 Diversified Winners 1 3 33.36 0% -9.91% -0.24% 18.03%
131 Diversified Winners 1 3 122.03 0% -0.17% 0.15% 1.26%
132 Diversified Winners 2 3 98.14 0% -0.11% 0.26% 1.44%
133 Diversified Winners 1 3 77.48 0% -0.41% -0.16% 1.26%
134 Diversified Winners 2 3 87.12 0% 0.02% -0.16% 0.95%
135 Diversified Winners 1 3 51.65 0% -0.33% -0.11% 1%
136 Diversified Winners 2 3 69.47 0% -0.32% -0.52% 0.88%