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Historical Dividends of Parag Parikh Conservative Hybrid Fund - Direct Plan - Monthly IDCW

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Category Launch Date Benchmark TER AUM
Hybrid: Conservative 26-05-2021 CRISIL Hybrid 85+15 Conservative Index 0.34%
As on (31-05-2025)
2,664.85 Cr
As on (30-05-2025)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
30-06-2025 0.0710 11.088 0.64%
26-05-2025 0.0255 11.1486 0.23%
02-04-2025 0.0594 10.8616 0.55%
24-02-2025 0.0682 10.7053 0.64%
27-01-2025 0.0275 10.7787 0.26%
30-12-2024 0.0506 10.7578 0.47%
25-11-2024 0.0779 10.8205 0.72%
28-10-2024 0.0895 10.8352 0.83%
30-09-2024 0.2850 10.9767 2.60%
26-08-2024 0.0316 11.1324 0.28%
24-06-2024 0.0730 10.834 0.67%
27-05-2024 0.0688 10.7691 0.64%
29-04-2024 0.1153 10.708 1.08%
26-03-2024 0.0667 10.682 0.62%
26-02-2024 0.0636 10.738 0.59%
29-01-2024 0.0638 10.5712 0.60%
26-12-2023 0.0498 10.4177 0.48%
28-11-2023 0.0736 10.2531 0.72%
30-10-2023 0.2086 10.1562 2.05%
25-09-2023 0.2510 10.3773 2.42%
28-08-2023 0.0525 10.2895 0.51%
31-07-2023 0.0621 10.3016 0.60%
26-06-2023 0.0461 10.1896 0.45%
29-05-2023 0.0472 10.261 0.46%
24-04-2023 0.1041 10.1846 1.02%
27-03-2023 0.0177 10.0448 0.18%
30-01-2023 0.0781 10.0447 0.78%
26-12-2022 0.0114 10.0431 0.11%
28-11-2022 0.1312 10.0726 1.30%
31-10-2022 0.0540 10.0427 0.54%
29-08-2022 0.1515 10.0789 1.50%
25-07-2022 0.1254 10.0367 1.25%
30-05-2022 0.0002 10.0367 0.00%
25-04-2022 0.0419 10.0623 0.42%
28-03-2022 0.0445 10.1119 0.44%
28-02-2022 0.0903 10.0877 0.90%
31-01-2022 0.0740 10.0646 0.74%
27-12-2021 0.0467 10.0431 0.47%
29-11-2021 0.0759 10.1036 0.75%
25-10-2021 0.0597 10.1541 0.59%
27-09-2021 0.0680 10.1343 0.67%
30-08-2021 0.1124 10.01 1.12%
28-06-2021 0.0267 10.01 0.27%

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