AMFI-Registered Mutual Fund Distributor
+91 98871 54423 info@futurestar.in
Last NAV (Sep 27, 2026): ₹3,871.80
Face Value: ₹1000
Min. Purchase: ₹1000
Fund Type: LIQUID
Last NAV (Sep 25, 2026): ₹215.19
Face Value: ₹10
Min. Purchase: ₹5000
Fund Type: EQUITY
Last NAV (Sep 25, 2026): ₹1,279.11
Face Value: ₹1000
Min. Purchase: ₹1000
Fund Type: DEBT
Last NAV (Sep 25, 2026): ₹32.91
Face Value: ₹10
Min. Purchase: ₹100
Fund Type: HYBRID (NC)
Last NAV (Sep 25, 2026): ₹10.60
Face Value: ₹10
Min. Purchase: ₹5000
Fund Type: EQUITY
Last NAV (Sep 25, 2026): ₹26.94
Face Value: ₹10
Min. Purchase: ₹10
Fund Type: EQUITY
Last NAV (Sep 25, 2026): ₹13.32
Face Value: ₹10
Min. Purchase: ₹100
Fund Type: DEBT
Last NAV (Sep 25, 2026): ₹13.25
Face Value: ₹10
Min. Purchase: ₹500
Fund Type: DEBT
Last NAV (Sep 25, 2026): ₹935.61
Face Value: ₹10
Min. Purchase: ₹1000
Fund Type: EQUITY
Last NAV (Sep 25, 2026): ₹28.48
Face Value: ₹10
Min. Purchase: ₹5000
Fund Type: EQUITY