» Nav History

Nav History

Nippon India Money Market Fund - Direct (I... - Scheme Profile

Fund

Fund House : Nippon India Mutual Fund

Fund Class : Liquid Funds

NAV 21 Oct 1003.60 0.00
(0.00%)
Date Nav(Rs)
21-10-2021 1003.60
20-10-2021 1003.60
18-10-2021 1003.60
14-10-2021 1003.60
13-10-2021 1003.60
12-10-2021 1003.60
11-10-2021 1003.60
08-10-2021 1003.60
07-10-2021 1003.60
06-10-2021 1003.60
05-10-2021 1003.60
04-10-2021 1003.60
01-10-2021 1003.60
30-09-2021 1003.60
29-09-2021 1003.58
28-09-2021 1003.60
27-09-2021 1003.60
24-09-2021 1003.58
23-09-2021 1003.60
22-09-2021 1003.60