Baroda Treasury Adv-Reg(G)
1560.63
0.29
(0.02%) NAV as on
13-Mar-22
Portfolio Summary
Indicates an increase or decrease or no change in holding since last portfolio
* Indicates a new holding since last portfolio.
PORTFOLIO ANALYSIS
Allocations As on
28-Feb-2022
Fund Size :27.92
(Cr.)
Description
Percent of Share(%)
INSTRUMENT BREAK UP
ASSET ALLOCATION
PORTFOLIO CHARACTERISTICS
Return Calculator
MARKET STATS
As on 20/05/2022
As on 20/05/2022
16266.15 (2.89)
54326.39 (2.91)
Portfolio Comparison