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Baroda Treasury Advantage Fund- Regular Plan - Monthly IDCW Option

Scheme code 112027

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Latest NAV
736.46660
13-03-2022
Fund house
Baroda Mutual Fund
Category
Debt Scheme - Low Duration Fund
Type
Open Ended Schemes
ISIN (Growth)
—
ISIN (Dividend)
—
NAV history (recent)
721.22728.84736.47
18-06-202113-03-2022