Details of IDCW Distribution During the Last Five Years:
| Scheme Name |
Plan |
Plan |
Dividend last 5 Years |
|---|
| Taurus Large Cap Fund |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
| Taurus Banking & Financial Services |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
| Taurus Mid Cap Fund |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
| Taurus Ethical Fund |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
| Taurus Infrastructure Fund |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
| Taurus Nifty 50 Index Fund |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
| Taurus Flexi Cap Fund |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
| Taurus Elss Tax Saver Fund |
Regular Plan - IDCW Option |
Direct Plan - IDCW Option |
Nil |
Details of last five IDCW distribution:
Taurus ELSS Tax Saver Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 3/30/11 |
1.25 |
16.64 |
| 2/28/11 |
1.25 |
16.66 |
| 12/24/10 |
2 |
20.43 |
| 3/26/10 |
2.25 |
18.7 |
| 2/26/10 |
2 |
20.13 |
Taurus Large Cap Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 1/25/18 |
3 |
36.62 |
| 11/8/17 |
12 |
47.18 |
| 7/26/17 |
5.35 |
51.73 |
| 3/24/17 |
18 |
65.64 |
| 9/29/16 |
1 |
64.15 |
Taurus Large Cap Fund - Direct Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 1/25/18 |
3 |
38.26 |
| 11/8/17 |
12 |
48.69 |
| 7/26/17 |
5.35 |
53.11 |
| 3/24/17 |
18 |
66.64 |
| 9/29/16 |
1 |
65.01 |
Taurus Ethical Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 12/10/10 |
1.8 |
16.3 |
| 2/19/10 |
2 |
15.08 |
| 9/18/09 |
1 |
14.73 |
| 7/31/09 |
1.5 |
15.08 |
Taurus Flexi Cap Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 3/4/20 |
0.5 |
51.47 |
| 2/2/20 |
0.5 |
53.82 |
| 1/2/20 |
0.5 |
56.73 |
| 12/5/19 |
0.5 |
56.16 |
| 11/5/19 |
0.5 |
56.84 |
Taurus Flexi Cap Fund - Direct Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 3/4/20 |
0.5 |
55.42 |
| 2/2/20 |
0.5 |
57.91 |
| 1/2/20 |
0.5 |
60.99 |
| 12/5/19 |
0.5 |
60.34 |
| 11/5/19 |
0.5 |
61.02 |
Taurus Infrastructure Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 8/20/10 |
1 |
14.3 |
Taurus Banking & Financial Services Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 3/22/13 |
1.25 |
11.87 |
Taurus Mid Cap Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 12/16/16 |
3.5 |
32.2 |
Taurus Mid Cap Fund - Direct Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 12/16/16 |
3.5 |
32.71 |
Taurus Nifty50 Index Fund - Regular Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 3/22/18 |
6.7 |
18.54 |
Taurus Nifty50 Index Fund - Direct Plan Fund
| Record Date |
Dividend Per Unit (Rs.) |
Net Asset Value |
|---|
| 3/22/18 |
1 |
19.11 |