+ CANARA ROBECO

Income Distribution cum Capital Withdrawal (IDCW) - Payout/Reinvestment

EQUITY SCHEMES

Canara Robeco Flexicap Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
28.10.2022
0.45
45.72
27.10.2023
2.56
46.87
25.10.2024
3.28
59.78
Direct IDCW - Payout/Reinvestment 
27.10.2023
3.81
69.86
25.10.2024
4.94
90.11
Canara Robeco Equity Hybrid Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular Monthly IDCW - Payout/Reinvestment
28.03.2025
0.67

94.17

25.04.2025
0.68

95.7

30.05.2025
0.70

98.51

27.06.2025
0.73

100.35

25.07.2025
0.73

98.01

29.08.2025
0.71

95.9

Direct Monthly IDCW - Payout/Reinvestment
28.02.2025
0.60
119.94
28.03.2025
0.60
126.33
30.05.2025
0.60
133.09
27.06.2025
0.60
136.08
25.07.2025
0.60
133.41
29.08.2025
0.60
131.06
Canara Robeco Consumer Trends Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
29.07.2022
0.31
32.61
28.07.2023
1.90
36.2
26.07.2024
2.48
49.32
25.07.2025
2.48
47.44
Direct IDCW - Payout/Reinvestment
26.07.2024
0.87
88.99
25.07.2025
4.54
86.65
Canara Robeco Infrastructure
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
27.08.2021
2.00
31.07
26.08.2022
0.37
37.28
25.08.2023
2.16
41.34
30.08.2024
3.43
66.53
29.08.2025
3.22
60.21
Direct IDCW - Payout/Reinvestment
26.08.2022
0.49
50.33
25.08.2023
2.95
56.46
30.08.2024
4.74
92
29.08.2025
4.50
84.34
Canara Robeco ELSS Tax Saver
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
24.11.2023
1.02
40.49
23.02.2024
1.12
44.31
29.11.2024
1.25
50.13
28.02.2025
1.13
42.36
Direct IDCW - Payout/Reinvestment
23.02.2024
1.79
70.63
29.11.2024
2.00
80.62
28.02.2025
1.82
68.31
#Canara Robeco Large And Mid Cap Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
27.11.2020
2.90
47.51
26.11.2021
5.65
60.83
25.11.2022
0.63
62.64
24.11.2023
3.45
66.75
29.11.2024
4.36
86.34
Direct IDCW - Payout/Reinvestment
25.11.2022
0.93
92.69
24.11.2023
5.16
99.84
29.11.2024
6.58
130.49
Canara Robeco Income Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular Quarterly IDCW - Payout/Reinvestment
31.03.2023
0.18
14.4777
30.06.2023
0.18
14.543
29.09.2023
0.18
14.4748
29.12.2023
0.18
14.5155
28.03.2024
0.19
14.6561
28.06.2024
0.19
14.7202
27.09.2024
0.19
14.9188
27.12.2024
0.19
14.81
28.03.2025
0.19
14.9889
27.06.2025
0.19
14.9672
Direct Quarterly IDCW - Payout/Reinvestment
31.03.2023
0.20
16.0765
30.06.2023
0.21
16.1828
29.09.2023
0.20
16.1522
29.12.2023
0.21
16.2342
28.03.2024
0.21
16.4389
28.06.2024
0.21
16.5606
27.09.2024
0.21
16.8364
27.12.2024
0.21
16.7684
28.03.2025
0.21
17.0222
27.06.2025
0.22
17.0361
Canara Robeco Banking and PSU Debt Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
27.12.2024
0.27
10.4848
27.06.2025
0.27
10.6561
Direct IDCW - Payout/Reinvestment
27.12.2024
0.27
10.5564
27.06.2025
0.28
10.733
Canara Robeco Conservative Hybrid Fund (Monthly IDCW Option)
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
30.08.2024
0.10
13.6548
27.09.2024
0.10
13.7808
25.10.2024
0.10
13.4975
29.11.2024
0.10
13.5213
27.12.2024
0.10
13.4204
31.01.2025
0.10
13.1861
28.02.2025
0.10
12.8542
28.03.2025
0.10
13.142
25.04.2025
0.10
13.2163
30.05.2025
0.10
13.3627
27.06.2025
0.10
13.3134
25.07.2025
0.10
13.2455
29.08.2025
0.10
13.0774
Direct Monthly IDCW - Payout/Reinvestment
30.08.2024
0.10
16.7663
27.09.2024
0.10
16.9591
25.10.2024
0.10
16.6484
29.11.2024
0.10
16.7916
27.12.2024
0.10
16.6327
31.01.2025
0.10
16.3839
28.02.2025
0.10
16.0097
28.03.2025
0.10
16.4074
25.04.2025
0.10
16.5382
30.05.2025
0.10
16.7654
27.06.2025
0.10
16.744
25.07.2025
0.10
16.6992
29.08.2025
0.10
16.532
Regular Quarterly IDCW - Payout/Reinvestment
28.03.2024
0.24
13.7086
28.06.2024
0.25
14.0134
27.09.2024
0.25
14.3863
27.12.2024
0.25
14.0741
28.03.2025
0.24
13.862
27.06.2025
0.25
14.1135
Direct Quarterly IDCW - Payout/Reinvestment
28.03.2024
0.29
16.0421
28.06.2024
0.29
16.4503
27.09.2024
0.30
16.9319
27.12.2024
0.30
16.6066
28.03.2025
0.29
16.3971
27.06.2025
0.30
16.7375
Canara Robeco Short Duration Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular Monthly IDCW - Payout/Reinvestment
28.03.2025
0.06
15.5601
25.04.2025
0.06
15.6869
30.05.2025
0.06
15.7885
27.06.2025
0.06
15.7369
25.07.2025
0.06
15.7648
29.08.2025
0.06
15.7054
Direct Monthly IDCW - Payout/Reinvestment
28.03.2025
0.06
17.8938
25.04.2025
0.06
18.0563
30.05.2025
0.06
18.1928
27.06.2025
0.06
18.1511
25.07.2025
0.06
18.2012
29.08.2025
0.06
18.1527
Regular Quarterly IDCW - Payout/Reinvestment
27.09.2024
0.19
15.0928
27.12.2024
0.19
15.1071
28.03.2025
0.19
15.2503
27.06.2025
0.20
15.4006
Direct Quarterly IDCW - Payout/Reinvestment
27.09.2024
0.21
16.7146
27.12.2024
0.21
16.7562
28.03.2025
0.21
16.941
27.06.2025
0.20
17.1357
Canara Robeco Multi Cap Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
25.07.2025
0.72
13.66
Direct IDCW - Payout/Reinvestment
25.07.2025
0.74
14.07
^Canara Robeco Focused Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
25.07.2025
0.93
17.71
Direct IDCW - Payout/Reinvestment
25.07.2025
1.00
18.99
Canara Robeco Small Cap Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
26.08.2022
0.23
22.9
30.08.2024
1.12
37.04
29.08.2025
1.71
32.16
Direct IDCW - Payout/Reinvestment
30.08.2024
1.24
40.97
29.08.2025
1.92
36
Canara Robeco Dynamic Bond Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
26.06.2020
0.45
14.0712
24.12.2020
0.42
14.0022
25.06.2021
0.35
13.6606
31.12.2021
0.35
13.4939
24.06.2022
0.27
13.1468
30.12.2022
0.27
13.2808
30.06.2023
0.34
13.3771
29.12.2023
0.34
13.3447
28.06.2024
0.35
13.5789
27.12.2024
0.35
13.6191
27.06.2025
0.36
13.7307
Direct IDCW - Payout/Reinvestment
26.06.2020
0.45
14.8653
24.12.2020
0.45
14.8495
25.06.2021
0.35
14.5799
31.12.2021
0.35
14.506
24.06.2022
0.29
14.2043
30.12.2022
0.29
14.4302
30.06.2023
0.37
14.6091
29.12.2023
0.37
14.6532
28.06.2024
0.38
14.9915
27.12.2024
0.39
15.1118
27.06.2025
0.40
15.318
Canara Robeco Corporate Bond Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
28.05.2021
0.30
11.6304
26.11.2021
0.30
11.5087
27.05.2022
0.23
11.3125
25.11.2022
0.23
11.3367
26.05.2023
0.29
11.4343
24.11.2023
0.58
11.1136
31.05.2024
0.29
11.2489
29.11.2024
0.29
11.3867
30.05.2025
0.30
11.6208
     
Direct IDCW - Payout/Reinvestment
28.05.2021
0.30
12.1238
26.11.2021
0.30
12.0484
27.05.2022
0.24
11.8809
25.11.2022
0.24
11.9473
26.05.2023
0.31
12.084
24.11.2023
0.62
11.7778
31.05.2024
0.31
11.9573
29.11.2024
0.31
12.1389
30.05.2025
0.32
12.426
Canara Robeco Gilt Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
26.06.2020
0.50
15.2096
24.12.2020
0.45
15.1544
25.06.2021
0.40
14.8103
31.12.2021
0.40
14.6682
24.06.2022
0.29
14.2586
30.12.2022
0.29
14.4175
30.06.2023
0.37
14.5802
29.12.2023
0.37
14.6007
28.06.2024
0.38
14.9262
27.12.2024
0.39
15.048
27.06.2025
0.39
15.1976
Direct IDCW - Payout/Reinvestment
26.06.2020
0.50
15.951
24.12.2020
0.47
15.9554
25.06.2021
0.40
15.6738
31.12.2021
0.40
15.604
24.06.2022
0.31
15.2119
30.12.2022
0.31
15.4387
30.06.2023
0.40
15.664
29.12.2023
0.40
15.7419
28.06.2024
0.41
16.151
27.12.2024
0.42
16.3448
27.06.2025
0.43
16.5604
Canara Robeco Value Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
25.07.2025
0.91
17.21
Direct IDCW - Payout/Reinvestment
25.07.2025
0.97
18.3
Canara Robeco Mid Cap Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
27.12.2024
0.52
16.02
Direct IDCW - Payout/Reinvestment
27.12.2024
0.53
16.54
*Canara Robeco Large Cap Fund
Date of declaration
(Record Date)
IDCW Distribution
per unit*
NAV as on the date
of declaration 
Regular IDCW - Payout/Reinvestment
26.11.2021
2.00
21.03
25.11.2022
0.22
21.86
29.11.2024
1.52
29.65
     
Direct IDCW - Payout/Reinvestment
26.11.2021
1.40
36.55
25.11.2022
0.39
38.60
29.11.2024
2.74
53.66

* On face value of Rs 10. | For Daily, Weekly & Monthly IDCW history of Canara Robeco Liquid Fund, Canara Robeco Ultra Short Term Fund & Canara Robeco Savings Fund Visit : www.canararobeco.com. | The IDCW amount is before tax calculation.*Formerly Known as Canara Robeco Bluechip Equity Fund. #Formerly Known as Canara Robeco Emerging Equities. ^Formerly Known as Canara Robeco Focused Equity Fund. Past performance may or may not be sustained in the future. Pursuant to payment of IDCW, the NAV of the IDCW option of the scheme would fall to the extent of payout and statutory levy (if applicable).