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Axis Value Fund - Regular Plan - IDCW
  PLAN: Regular      OPTION: IDCW     
CATEGORY: FoF Overseas)      FUND HOUSE:Axis MF
NAV : 9.74     0.01 (0.11%)  52Wk High/Low: 9.74 / 0   Expense Ratio: NA
  Updated As On: 14-Feb-2022
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