360 One MF Flexicap Fund 728x90

Historical Dividends of Edelweiss Balanced Advantage Fund - Regular Plan - Quarterly - IDCW Option

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Category Launch Date Benchmark TER AUM
Hybrid: Dynamic Asset Allocation 20-08-2009 NIFTY 50 Hybrid Composite debt 50:50 Index 1.68%
As on (31-03-2025)
12,239.74 Cr
As on (31-03-2025)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
21-03-2025 0.4000 20.72 1.93%
20-12-2024 0.4000 21.52 1.86%
23-09-2024 0.2000 22.87 0.87%
25-06-2024 0.2000 21.65 0.92%
22-03-2024 0.2000 20.28 0.99%
27-12-2023 0.2000 19.73 1.01%
26-09-2023 0.2000 18.5 1.08%
26-06-2023 0.2000 17.95 1.11%
27-03-2023 0.2000 16.83 1.19%
28-03-2022 0.2500 16.86 1.48%
28-12-2021 0.2000 17.29 1.16%
27-09-2021 0.2000 17.65 1.13%
23-06-2021 0.2000 16.43 1.22%
23-03-2021 0.2000 15.81 1.27%
28-12-2020 0.2000 15.3 1.31%
23-09-2020 0.2000 13.56 1.47%
29-06-2020 0.2000 12.89 1.55%
23-03-2020 0.1771 11.33 1.56%
24-12-2019 0.1771 13.31 1.33%
24-06-2019 0.1771 13.05 1.36%
25-03-2019 0.1328 12.83 1.04%
24-12-2018 0.2214 12.86 1.72%
24-09-2018 0.2479 13.31 1.86%
25-06-2018 0.2214 13.49 1.64%
22-03-2018 0.2200 13.1 1.68%
22-01-2018 0.2200 14.02 1.57%
21-09-2017 0.2200 13.56 1.62%
10-07-2017 0.2200 13.44 1.64%
04-05-2017 0.2200 13.24 1.66%
18-01-2017 0.2200 12.21 1.80%
26-10-2016 0.2200 12.74 1.73%
25-07-2016 0.2200 12.85 1.71%
26-04-2016 0.2200 12.7 1.73%
25-01-2016 0.3000 12.54 2.39%
27-10-2015 0.2200 13.37 1.65%
27-07-2015 0.2200 13.93 1.58%
22-04-2015 0.2200 13.81 1.59%
27-01-2015 0.3000 14.08 2.13%
31-10-2014 0.2200 13.24 1.66%
25-07-2014 0.2200 12.64 1.74%
25-04-2014 0.2200 11.16 1.97%
31-01-2014 0.2200 10.87 2.02%
25-10-2013 0.2200 11.2 1.96%
26-07-2013 0.2200 11.06 1.99%
26-04-2013 0.1800 10.98 1.64%
24-01-2013 0.1800 11.08 1.62%
29-10-2012 0.1800 11.06 1.63%
27-07-2012 0.1800 10.88 1.65%
27-04-2012 0.1800 10.84 1.66%
27-01-2012 0.1800 10.92 1.65%
28-10-2011 0.1800 10.88 1.65%
29-07-2011 0.1800 11.05 1.63%
29-04-2011 0.1800 11.1 1.62%
28-01-2011 0.1650 11.2 1.47%

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