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Sensex
82188.99
746.95
0.92%
Nifty
25000.45
249.55
1.01%
USDINR
85.77
-0.18
-0.21%
BSE Prices delayed by 5 minutes ! Prices as on Jun 06, 2025 - 3:30PM
ABB India
6050
[ 0.31% ]
ACC
1902.4
[ 0.97% ]
Ambuja Cements
555.35
[ 0.95% ]
Asian Paints Ltd.
2248
[ 0.20% ]
Axis Bank Ltd.
1194.65
[ 3.11% ]
Bajaj Auto
8640.85
[ 0.95% ]
Bank of Baroda
246.45
[ -1.66% ]
Bharti Airtel
1871.25
[ -0.39% ]
Bharat Heavy Ele
255.5
[ 1.41% ]
Bharat Petroleum
316.5
[ 2.15% ]
Britannia Ind.
5603
[ 0.04% ]
Cipla
1500.6
[ 0.74% ]
Coal India
398.85
[ 0.99% ]
Colgate Palm.
2438.7
[ -0.56% ]
Dabur India
481.7
[ -1.34% ]
DLF Ltd.
879.15
[ 6.51% ]
Dr. Reddy's Labs
1320.5
[ 2.37% ]
GAIL (India)
191.3
[ 0.37% ]
Grasim Inds.
2571.2
[ 0.69% ]
HCL Technologies
1635.6
[ 0.21% ]
HDFC Bank
1979
[ 1.44% ]
Hero MotoCorp
4279.05
[ 2.41% ]
Hindustan Unilever L
2388.9
[ 0.50% ]
Hindalco Indus.
649.65
[ 1.94% ]
ICICI Bank
1457.05
[ 0.16% ]
Indian Hotels Co
777.35
[ 0.75% ]
IndusInd Bank
822.15
[ 2.37% ]
Infosys L
1566.55
[ 0.78% ]
ITC Ltd.
421
[ 0.41% ]
Jindal St & Pwr
958.7
[ 0.89% ]
Kotak Mahindra Bank
2072.45
[ 1.61% ]
L&T
3650
[ 0.23% ]
Lupin Ltd.
1994
[ -0.07% ]
Mahi. & Mahi
3106
[ 2.05% ]
Maruti Suzuki India
12443.9
[ 2.64% ]
MTNL
49.88
[ -1.81% ]
Nestle India
2414.65
[ 0.56% ]
NIIT Ltd.
135
[ -0.74% ]
NMDC Ltd.
72.45
[ 2.26% ]
NTPC
332.6
[ 1.20% ]
ONGC
240.1
[ 0.99% ]
Punj. NationlBak
110.1
[ 1.01% ]
Power Grid Corpo
295.1
[ 0.29% ]
Reliance Inds.
1443.35
[ 0.05% ]
SBI
812.75
[ 0.82% ]
Vedanta
446.5
[ 1.53% ]
Shipping Corpn.
213
[ -0.30% ]
Sun Pharma.
1681.6
[ -0.10% ]
Tata Chemicals
938.6
[ 0.98% ]
Tata Consumer Produc
1116.4
[ 0.47% ]
Tata Motors
711.8
[ 0.24% ]
Tata Steel
157.6
[ -0.25% ]
Tata Power Co.
399.45
[ 1.54% ]
Tata Consultancy
3387.25
[ 0.45% ]
Tech Mahindra
1573
[ 0.70% ]
UltraTech Cement
11240.5
[ 0.73% ]
United Spirits
1598.2
[ -0.72% ]
Wipro
248.5
[ 0.22% ]
Zee Entertainment En
126.5
[ -0.94% ]
BSE
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DIVIDEND HISTORY
*
GO
DSP Small Cap Fund
You can view the dividend history of MF. Search for the scheme to get more details.
Fund :
DSP Mutual Fund
Category :
Equity - Diversified
Type :
Open Ended
NAV(
05/06/2025
)
197.1240
Percentage Returns :
1 Month Ago :
14.56%
3 Months Ago :
21.27%
1 Year Ago :
19.93%
Dividend Date
Percentage(%)
13/02/2025
47.00
15/02/2024
46.00
16/02/2023
35.00
17/02/2022
48.00
11/02/2021
35.30
06/02/2020
31.00
07/02/2019
31.50