Regular – IDCW Payout (Monthly) · Liquid · PPFAS Mutual Fund
| NAV | ₹1005.58 (11-Oct-2026) |
|---|---|
| AMFI code | 143261 |
| ISIN | INF879O01043 |
Returns computed by MF Times from AMFI’s published NAV history. Past performance does not indicate future results. Educational content, not investment advice.
Other plans: Direct · Growth · Direct · IDCW Payout (Monthly) · Direct · IDCW Reinvestment (Daily) · Direct · IDCW Reinvestment (Weekly) · Regular · Growth · Regular · IDCW Reinvestment (Daily) · Regular · IDCW Reinvestment (Weekly)