Mutual Funds

Scheme Name NAV (₹) 1 Week % 1 Month % 3 Months % 6 Months % 1 Year % 3 Years % 5 Years % Since Inception
360 ONE Balanced Hybrid... 10.47
(08 Dec 2023)
1.23 4.06 NA NA NA NA NA 4.66
25 Sep 2023
360 ONE Balanced Hybrid... 10.47
(08 Dec 2023)
1.23 4.06 NA NA NA NA NA 4.66
25 Sep 2023
360 ONE Balanced Hybrid... 10.43
(08 Dec 2023)
1.20 3.94 NA NA NA NA NA 4.34
25 Sep 2023
360 ONE Balanced Hybrid... 10.43
(08 Dec 2023)
1.20 3.94 NA NA NA NA NA 4.34
25 Sep 2023
360 ONE Dynamic Bond Fu... 20.46
(08 Dec 2023)
0.35 0.62 1.15 2.25 6.36 5.41 6.73 7.08
24 Jun 2013
360 ONE Dynamic Bond Fu... 12.81
(08 Dec 2023)
0.35 0.62 1.15 2.24 6.35 5.41 6.71 7.07
24 Jun 2013
360 ONE Dynamic Bond Fu... 18.89
(08 Dec 2023)
0.35 0.62 1.16 2.26 6.36 NA 6.22 6.62
24 Jun 2013
360 ONE Dynamic Bond Fu... 19.47
(08 Dec 2023)
0.35 0.60 1.08 2.12 6.09 5.13 6.29 6.58
24 Jun 2013
360 ONE Dynamic Bond Fu... 19.47
(08 Dec 2023)
0.35 0.60 1.08 2.12 6.09 5.13 6.29 6.58
24 Jun 2013
360 ONE Dynamic Bond Fu... 18.79
(08 Dec 2023)
0.35 0.60 1.08 2.12 6.09 5.13 6.29 6.57
24 Jun 2013