Financial services India | Essel Finance

Rate Chart

 
20 Sep 2018 | 09.55 < Back
Currencies Buying Selling
US Dollar 68.76 75.81
GBP 90.41 98.97
EURO 80.09 87.91
AUSTRALIAN 50.41 54.35
BAHRAIN DINAR 180.51 203.55
CANADIAN DOLLAR 52.36 58.24
DANISH KRONER 10.51 11.92
EGYPTIAN POUND 3.12 4.29
HONGKONG DOLLAR 8.58 9.96
JAPANESE YEN /100 60.66 66.95
JORDAN DINAR 90.98 105.00
KUWAIT DINAR 212.17 245.54
MALAYSIAN RINGITT 15.91 18.88
NEWZEALAND DOLLAR 44.38 50.88
NORWEGEAN KRONER 8.26 9.32
OMANI RIYA 176.24 198.80
QATAR RIYAL 18.78 20.92
SAUDIRIYAL 18.24 20.55
SINGAPORE DOLLAR 48.77 56.57
SOUTH AFRICAN RAND 4.43 5.13
SWEDISH KRONER 7.59 8.57
SWISS FRANC 70.53 79.13
SYRIAN POUND 0.08 0.15
THAI BHAT / 100 198.90 241.36
UAE DIRHAM 18.62 20.79
CHINESE YUAN 8.35 11.94
As on  19-Sep-2018
    Essel 3 In 1 Fund (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :17.29] ,    Essel 3 In 1 Fund (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :15.41] ,    Essel 3 In 1 Fund (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :17.28] ,    Essel 3 In 1 Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :17.36] ,    Essel 3 In 1 Fund - Direct (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :16.08] ,    Essel 3 In 1 Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :18.44] ,    Essel Arbitrage Fund - Direct (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.03] ,    Essel Arbitrage Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.03] ,    Essel Arbitrage Fund - Direct (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.03] ,    Essel Arbitrage Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.03] ,    Essel Arbitrage Fund - Regular (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.02] ,    Essel Arbitrage Fund - Regular (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.02] ,    Essel Arbitrage Fund - Regular (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.02] ,    Essel Equity Hybrid Fund - Direct (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.12] ,    Essel Equity Hybrid Fund - Direct (Div-A)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.12] ,    Essel Equity Hybrid Fund - Direct (Div-H)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.12] ,    Essel Equity Hybrid Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.12] ,    Essel Equity Hybrid Fund - Direct (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.12] ,    Essel Equity Hybrid Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.12] ,    Essel Equity Hybrid Fund - Regular (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.08] ,    Essel Equity Hybrid Fund - Regular (Div-A)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.08] ,    Essel Equity Hybrid Fund - Regular (Div-H)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.08] ,    Essel Equity Hybrid Fund - Regular (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.08] ,    Essel Equity Hybrid Fund - Regular (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.08] ,    Essel Equity Hybrid Fund - Regular (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.08] ,    Essel Large & Midcap Fund (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.56] ,    Essel Large & Midcap Fund (Div-A)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.97] ,    Essel Large & Midcap Fund (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.56] ,    Essel Large & Midcap Fund - Direct (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :15.05] ,    Essel Large & Midcap Fund - Direct (Div-A)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :15.05] ,    Essel Large & Midcap Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :15.25] ,    Essel Large Cap Equity Fund (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.27] ,    Essel Large Cap Equity Fund (Div-H)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.58] ,    Essel Large Cap Equity Fund (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :15.83] ,    Essel Large Cap Equity Fund (Div-Y)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :15.58] ,    Essel Large Cap Equity Fund (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :22.66] ,    Essel Large Cap Equity Fund - Direct (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.99] ,    Essel Large Cap Equity Fund - Direct (Div-H)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :16.56] ,    Essel Large Cap Equity Fund - Direct (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :15.66] ,    Essel Large Cap Equity Fund - Direct (Div-Y)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :17.03] ,    Essel Large Cap Equity Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :24.32] ,    Essel Liquid Fund - Direct (Div-D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,001.29] ,    Essel Liquid Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,004.99] ,    Essel Liquid Fund - Direct (Div-W)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,000.81] ,    Essel Liquid Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,980.78] ,    Essel Liquid Fund - Regular (Div-D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,001.29] ,    Essel Liquid Fund - Regular (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,004.93] ,    Essel Liquid Fund - Regular (Div-W)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,000.84] ,    Essel Liquid Fund - Regular (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,970.93] ,    Essel Liquid Fund - UR & Dividend Plan - (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,974.90] ,    Essel Liquid Fund - UR & Dividend Plan GT 3Yrs  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,000.00] ,    Essel Long Term Advantage Fund (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :13.96] ,    Essel Long Term Advantage Fund (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :13.96] ,    Essel Long Term Advantage Fund - Direct (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.44] ,    Essel Long Term Advantage Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.57] ,    Essel Multi Cap Fund - Direct (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.17] ,    Essel Multi Cap Fund - Direct (Div-A)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.17] ,    Essel Multi Cap Fund - Direct (Div-H)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.17] ,    Essel Multi Cap Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.17] ,    Essel Multi Cap Fund - Direct (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.17] ,    Essel Multi Cap Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.20] ,    Essel Multi Cap Fund - Regular (D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.14] ,    Essel Multi Cap Fund - Regular (Div-A)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.14] ,    Essel Multi Cap Fund - Regular (Div-H)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.14] ,    Essel Multi Cap Fund - Regular (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.14] ,    Essel Multi Cap Fund - Regular (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.14] ,    Essel Multi Cap Fund - Regular (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.14] ,    Essel Regular Savings Fund (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.04] ,    Essel Regular Savings Fund (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :11.26] ,    Essel Regular Savings Fund (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :18.30] ,    Essel Regular Savings Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.93] ,    Essel Regular Savings Fund - Direct (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :12.26] ,    Essel Regular Savings Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :19.91] ,    Essel Short Term Fund (Bonus)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :14.41] ,    Essel Short Term Fund (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.15] ,    Essel Short Term Fund (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.98] ,    Essel Short Term Fund (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :19.23] ,    Essel Short Term Fund - Direct (Bonus)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :20.25] ,    Essel Short Term Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :10.61] ,    Essel Short Term Fund - Direct (Div-Q)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :11.57] ,    Essel Short Term Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :20.20] ,    Essel Ultra Short Term Fund - Direct (Div-D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,006.65] ,    Essel Ultra Short Term Fund - Direct (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,030.38] ,    Essel Ultra Short Term Fund - Direct (Div-W)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,004.49] ,    Essel Ultra Short Term Fund - Direct (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :2,007.49] ,    Essel Ultra Short Term Fund - Regular (Div-D)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,009.39] ,    Essel Ultra Short Term Fund - Regular (Div-M)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,010.81] ,    Essel Ultra Short Term Fund - Regular (Div-W)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,003.75] ,    Essel Ultra Short Term Fund - Regular (G)  [ NAV DATE :19 - September - 2018]    [NAV PRICE :1,944.83] ,
2017 Essel Finance. All rights reserved.
Designed and Developed by C-MOTS Infotech (ISO 9001:2015 Certified)