Nippon Life India Asset Management Limited(NAM-INDIA) INR 231.85
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20224.96%INR 11.5INR42022-11-01
INR7.52022-06-30
20214.96%INR 11.5INR3.52021-11-08
INR52021-06-10
INR32021-02-05
20202.16%INR 5INR22020-06-29
INR32020-02-03
20192.59%INR 6INR32019-05-09
INR32019-01-31
20182.59%INR 6INR12018-09-12
INR52018-01-31