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You can view the history of all NAV. Search for the scheme to get more details.
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Fund :
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Category :
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Type :
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NAV()
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Percentage Returns :
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1 Month Ago :
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3 Months Ago :
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1 Year Ago :
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Choose Option :
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2025
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Open :
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206.59
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Close :
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198.43
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Return(%) :
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-3.94
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Month
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NAV
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Return
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Open (Rs.)
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Close (Rs.)
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Percentage
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January | 206.5900 | 185.0100 | -10.44 | February | 187.4700 | 168.9700 | -9.86 | March | 169.8400 | 183.1400 | 7.83 | April | 181.7600 | 188.8300 | 3.88 | May | 188.4200 | 198.4300 | 5.31 | January | 206.5900 | 185.0100 | -10.44 | February | 187.4700 | 168.9700 | -9.86 | March | 169.8400 | 183.1400 | 7.83 | April | 181.7600 | 188.8300 | 3.88 | May | 188.4200 | 198.4300 | 5.31 | January | 206.5900 | 185.0100 | -10.44 | February | 187.4700 | 168.9700 | -9.86 | March | 169.8400 | 183.1400 | 7.83 | April | 181.7600 | 188.8300 | 3.88 | May | 188.4200 | 198.4300 | 5.31 | January | 206.5900 | 185.0100 | -10.44 | February | 187.4700 | 168.9700 | -9.86 | March | 169.8400 | 183.1400 | 7.83 | April | 181.7600 | 188.8300 | 3.88 | May | 188.4200 | 198.4300 | 5.31 | January | 206.5900 | 185.0100 | -10.44 | February | 187.4700 | 168.9700 | -9.86 | March | 169.8400 | 183.1400 | 7.83 | April | 181.7600 | 188.8300 | 3.88 | May | 188.4200 | 198.4300 | 5.31 |
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