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  Schemewise
Latest NAV - Subtypewise  
Date Scheme Name Previous Todays % change
NA Benchmark Split Capital Fund - A Class Units NA 0.0000 NA
NA Benchmark Split Capital Fund - B Class Units NA 0.0000 NA
09-Sep-2010 Birla Sun Life 95 Fund - Div 121.9100 122.4100 0.41
09-Sep-2010 Birla Sun Life 95 Fund - Gr 316.0200 317.3300 0.41
09-Sep-2010 Birla Sun LIfe AAF - Moderate Plan - Div (FOF) 28.3089 28.3786 0.25
09-Sep-2010 Birla Sun LIfe AAF - Moderate Plan - Gr (FOF) 28.3089 28.3786 0.25
09-Sep-2010 Birla Sun Life Freedom Fund Div 16.9000 16.9000 0.00
09-Sep-2010 Birla Sun Life Freedom Fund Gr 33.2800 33.2800 0.00
09-Sep-2010 BOB Pioneer Balance Fund - Div 28.4100 28.5900 0.63
09-Sep-2010 BOB Pioneer Balance Fund - Gr 28.1400 28.3100 0.60
23-Nov-2009 BOB Pioneer Children Fund - Gift Plan 9.7270 9.7272 0.00
23-Nov-2009 BOB Pioneer Children Fund - Study Plan 8.3736 8.3737 0.00
09-Sep-2010 Canara Robeco Balance Fund - Div 54.0300 54.3400 0.57
09-Sep-2010 Canara Robeco Balance Fund - Gr 62.2600 62.6200 0.58
28-Mar-2008 Canara Robeco Balance Fund II - Div 42.7000 43.6200 2.15
28-Mar-2008 Canara Robeco Balance Fund II - Gr 42.7000 43.6200 2.15
15-Feb-2005 Canara Robeco Ganga 14.4000 14.2800 -0.83
15-Feb-2005 Canara Robeco Premium - Growth Plan 98 20.8900 20.7900 -0.48
15-Feb-2005 Canara Robeco Premium - Income Plan 15.2500 15.1800 -0.46
28-May-2004 Dhanvidhya 22.7097 10.0500 -55.75
09-Sep-2010 DSP BlackRock Balance Fund - Div 24.5420 24.6390 0.40
09-Sep-2010 DSP BlackRock Balance Fund - Gr 68.1410 68.4100 0.39
09-Sep-2010 Escorts Balance Fund Div 12.4895 12.5504 0.49
09-Sep-2010 Escorts Balance Fund G 65.3481 65.6665 0.49
08-Aug-2007 Franklin India Balance Fund Div 34.5304 35.0549 1.52
08-Aug-2007 Franklin India Balance Fund Gr 39.9517 40.5585 1.52
19-Jul-2004 FT India Asset Allocation Balance Growth Plan Div 11.5626 11.5626 0.00
19-Jul-2004 FT India Asset Allocation Balance Growth Plan Gr 13.9581 13.9581 0.00
19-Jul-2004 FT India Asset Allocation Conservative Growth Plan Div 10.9463 10.9463 0.00
19-Jul-2004 FT India Asset Allocation Conservative Growth Plan Gr 13.1495 13.1495 0.00
19-Jul-2004 FT India Asset Allocation Inflation Hedge Div 10.3186 10.3186 0.00
19-Jul-2004 FT India Asset Allocation Inflation Hedge Gr 11.9877 11.9877 0.00
19-Jul-2004 FT India Asset Allocation Pure Growth Div 11.9435 11.9435 0.00
19-Jul-2004 FT India Asset Allocation Pure Growth Gr 15.0727 15.0727 0.00
19-Jul-2004 FT India Asset Allocation Steady Growth Plan Div 11.8215 11.8215 0.00
19-Jul-2004 FT India Asset Allocation Steady Growth Plan Gr 14.6009 14.6009 0.00
09-Sep-2010 FT India Balance Fund Div 20.9042 21.0213 0.56
09-Sep-2010 FT India Balance Fund Gr 48.7142 48.9870 0.56
09-Sep-2010 FT India Life Stage Fund Of Funds - The 30S Plan (FOF) Div 27.4273 27.5206 0.34
09-Sep-2010 FT India Life Stage Fund Of Funds - The 30S Plan (FOF) Gr 27.4273 27.5206 0.34
09-Sep-2010 FT India Life Stage Fund Of Funds - The 40S Plan (FOF) Div 17.0496 17.0981 0.28
09-Sep-2010 FT India Life Stage Fund Of Funds - The 40S Plan (FOF) Gr 22.8370 22.9020 0.28
18-Jan-2006 FT India PE Ratio Div 11.4200 18.6566 63.37
18-Jan-2006 FT India PE Ratio Gr 13.7500 18.6566 35.68
13-Apr-2004 FT India Vista Fund - Div 6.5300 6.5300 0.00
17-Jan-2005 FT India Vista Fund - Gr 8.8100 10.2552 16.40
09-Sep-2010 HDFC Balance Fund - Div 21.3960 21.5500 0.72
09-Sep-2010 HDFC Balance Fund Gr 54.3700 54.7620 0.72
09-Sep-2010 HDFC Children Gift Investment 40.0930 40.3240 0.58
09-Sep-2010 HDFC Children Gift Investment(Lock In) 40.0930 40.3240 0.58
09-Sep-2010 HDFC Children Gift Savings 21.7490 21.8140 0.30
09-Sep-2010 HDFC Children Gift Savings (Lock In) 21.7490 21.8140 0.30
09-Sep-2010 HDFC Prudence Fund - Div 32.9750 33.0870 0.34
09-Sep-2010 HDFC Prudence Fund - Gr. 214.6760 215.4090 0.34
09-Sep-2010 ICICI Prudential Balanced Fund-Div 16.0400 16.1000 0.37
09-Sep-2010 ICICI Prudential Balanced Fund-Gr 44.7900 44.9500 0.36
09-Sep-2010 ICICI Prudential Child Care Plan-Gift Plan 62.6300 62.9800 0.56
09-Sep-2010 ICICI Prudential Moderate Plan 24.3082 24.2927 -0.06
17-Feb-2006 ICICI Prudential Moderate Plan NRI - Div 9.7985 14.3786 46.74
09-Sep-2010 ICICI Prudential Moderate Plan-Div 24.3082 24.2927 -0.06
09-Sep-2010 IDFC Asset Allocation FoF - Aggressive - Div 11.0397 11.0596 0.18
09-Sep-2010 IDFC Asset Allocation FoF - Aggressive - Gr 11.1678 11.1880 0.18
09-Sep-2010 IDFC Asset Allocation FoF - Conservative - Div 10.3469 10.3582 0.11
09-Sep-2010 IDFC Asset Allocation FoF - Conservative - Gr 10.4273 10.4386 0.11
09-Sep-2010 IDFC Asset Allocation FoF - Moderate - Div 10.6805 10.6957 0.14
09-Sep-2010 IDFC Asset Allocation FoF - Moderate - Gr 10.7629 10.7782 0.14
08-Sep-2010 IDFC Hybrid Portfolio Fund - Series I - Div 10.1695 10.1683 -0.01
08-Sep-2010 IDFC Hybrid Portfolio Fund - Series I - Gr 10.0000 10.1676 1.68
09-Sep-2010 ING Balance Fund - Div 18.0200 18.0500 0.17
09-Sep-2010 ING Balance Fund - Gr 25.7600 25.8100 0.19
09-Sep-2010 JM Balanced Fund Div 16.9652 17.0388 0.43
09-Sep-2010 JM Balanced Fund Gr 23.7870 23.8902 0.43
09-Sep-2010 Kotak Balance 24.0550 24.1580 0.43
29-Dec-2009 Kotak Dynamic Asset Allocation - Gr 13.9699 13.9837 0.10
09-Sep-2010 LIC MF Balance Fund Plan A - Div 11.9924 12.0438 0.43
09-Sep-2010 LIC MF Balance Fund Plan B - Div 11.9924 12.0438 0.43
09-Sep-2010 LIC MF Balance Fund Plan C - Gr 56.7393 56.9811 0.43
09-Sep-2010 LIC MF Chidrens Fund Gr 10.4727 10.5154 0.41
09-Sep-2010 LIC MF ULIS - Regular Contribution 10 Years - Half Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Regular Contribution 10 Years - Monthly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Regular Contribution 10 Years - Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Regular Contribution 15 Years - Half Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Regular Contribution 15 Years - Monthly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Regular Contribution 15 Years - Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Single Premium 10 Years 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Single Premium 5 Years 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Uniform Cover 10 Years Half Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Uniform Cover 10 Years Monthly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Uniform Cover 10 Years Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Uniform Cover 15 Years Half Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Uniform Cover 15 Years Monthly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF ULIS - Uniform Cover 15 Years Yearly 10.0573 10.0355 -0.22
09-Sep-2010 LIC MF Unit Linked Insurance Scheme 10.0573 10.0765 0.19
06-Feb-2008 OptiMix Financial Planning Multi-Manager FoF Scheme - Plan D - Div 12.0164 11.9130 -0.86
06-Feb-2008 OptiMix Financial Planning Multi-Manager FoF Scheme - Plan D - Gr 12.0164 11.9130 -0.86
06-Feb-2008 OptiMix Financial Planning Multi-Manager FoF Scheme - Plan E - Div 12.1827 12.0457 -1.12
06-Feb-2008 OptiMix Financial Planning Multi-Manager FoF Scheme - Plan E - Gr 12.1827 12.0457 -1.12
06-Feb-2008 OptiMix Financial Planning Multi-Manager FoF Scheme - Plan F - Div 12.3161 12.1669 -1.21
06-Feb-2008 OptiMix Financial Planning Multi-Manager FoF Scheme - Plan F - Gr 12.3161 12.1669 -1.21
30-Apr-2004 PNB Balance Fund Div 16.7213 16.6320 -0.53
30-Apr-2004 PNB Balance Fund Gr 21.2874 21.1840 -0.49
09-Sep-2010 Principal Balance Fund - Div 16.2500 16.3300 0.49
09-Sep-2010 Principal Balance Fund - Gr 32.1700 32.3300 0.50
14-Dec-2004 Principal Balance Fund Div (old) 13.3000 13.4200 0.90
14-Dec-2004 Principal Balance Fund Div Annually(old) 13.3000 13.4200 0.90
14-Dec-2004 Principal Balance Fund Gr (old) 13.3000 13.4200 0.90
09-Sep-2010 Principal Child Benefit Fund Career Builder 15 Years 91.9500 92.5900 0.70
09-Sep-2010 Principal Child Benefit Fund Career Builder 7 Yrs 91.9500 92.5900 0.70
09-Sep-2010 Principal Child Benefit Fund Career Builder Plan(10 Year) 91.9500 92.5900 0.70
09-Sep-2010 Principal Child Benefit Fund Career Builder-Gr 91.9500 92.5900 0.70
10-Jul-2009 Principal Child Benefit Fund Future Guard 15 Yrs 64.7600 64.0100 -1.16
10-Jul-2009 Principal Child Benefit Fund Future Guard-Gr 10 Yrs 64.7600 64.0100 -1.16
10-Jul-2009 Principal Child Benefit Plan Future Guard 7 Yrs 64.7600 64.0100 -1.16
09-Sep-2010 Reliance Regular Savings Fund Balance Plan - Div 16.4129 16.5086 0.58
09-Sep-2010 Reliance Regular Savings Fund Balance Plan - Gr 23.4106 23.5471 0.58
09-Sep-2010 SBI Magnum Balance Fund - Div 28.0100 28.0900 0.29
09-Sep-2010 SBI Magnum Balance Fund - Gr 52.2000 52.3500 0.29
09-Sep-2010 SBI Magnum Children Benefit Plan 22.2429 22.2759 0.15
11-May-2009 Sundaram BNP Paribas Balance Fund - Instit. Div 11.1526 11.0187 -1.20
09-Sep-2010 Sundaram BNP Paribas Balance Fund Div 17.0399 17.0659 0.15
09-Sep-2010 Sundaram BNP Paribas Balanced Fund Gr 48.9276 49.0021 0.15
09-Sep-2010 Tata Balanced Fund - Div 52.3973 52.7437 0.66
09-Sep-2010 Tata Balanced Fund - Gr 83.0717 83.6210 0.66
13-Aug-2010 Tata SIP Fund - Scheme - I - Div 10.0006 10.0006 0.00
04-Aug-2010 Tata SIP Fund - Scheme - I - Gr 11.9745 11.9745 0.00
01-Jul-2010 Tata SIP Fund - Scheme - II - Div 10.0075 10.0082 0.01
01-Jul-2010 Tata SIP Fund - Scheme - II - Gr 12.9975 12.9984 0.01
09-Sep-2010 Tata Smart Investment Plan - 1 Scheme A - Div 12.2368 12.2976 0.50
09-Sep-2010 Tata Smart Investment Plan - 1 Scheme A - Gr 12.2368 12.2976 0.50
09-Sep-2010 Tata Smart Investment Plan - 1 Scheme B - Div 11.3170 11.3553 0.34
09-Sep-2010 Tata Smart Investment Plan - 1 Scheme B - Gr 11.3170 11.3553 0.34
09-Sep-2010 Tata Young Citizen 20.1020 20.1538 0.26
09-Sep-2010 Tata Young Citizen (Lock in) 20.1020 20.1538 0.26
09-Sep-2010 Templeton India Pension Plan Div 15.6412 15.6899 0.31
09-Sep-2010 Templeton India Pension Plan Gr 57.4147 57.5934 0.31
09-Sep-2010 UTI Balance Fund Div 24.5600 24.6900 0.53
09-Sep-2010 UTI Balance Fund Gr 81.4900 81.9200 0.53
09-Sep-2010 UTI Childrens Career Balanced Plan-Gr 15.2549 15.2708 0.10
09-Sep-2010 UTI Childrens Career Balanced Plan-Scholarship 15.2549 15.2708 0.10
08-Sep-2010 UTI Childrens Career Plan Advantage Fund - Div 16.7223 16.7730 0.30
08-Sep-2010 UTI Childrens Career Plan Advantage Fund - Gr 16.7230 16.7738 0.30
09-Sep-2010 UTI Retirement Benefit Pension Fund - Gr 19.6675 19.7177 0.26
09-Sep-2010 UTI Unit Linked Insurance Plan - Fifteen Years Plan 18.4784 18.4990 0.11
08-Sep-2010 UTI Unit Linked Insurance Plan - Ten Years Plan 18.4689 18.4784 0.05
21-Nov-2006 UTI Unit Scheme 2002 - Gr 13.7500 13.8100 0.44
21-Nov-2006 UTI Unit Scheme 2002 - Income 13.6700 13.8100 1.02
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