Latest NAVs
| Scheme | Current NAV | Nav Date |
| Institutional Bonus Plan | 13.2942 | 09 Sep 2010 |
| Institutional Dividend Plan | 13.2942 | 09 Sep 2010 |
| Institutional Growth Plan | 12.9474 | 26 Aug 2010 |
| Retail Dividend Plan | 13.0734 | 09 Sep 2010 |
| Retail Growth Plan | 13.0734 | 09 Sep 2010 |
| Retail Bonus Plan | 13.0734 | 09 Sep 2010 |
|