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Nav History

L&T Conservative Hybrid Fund - Direct (G) - Scheme Profile

Fund

Fund House : L&T Mutual Fund

Fund Class : Monthly Income Plans - Short Term

NAV 20 Oct 45.81 -0.27
(-0.59%)
Date Nav(Rs)
20-10-2021 45.81
18-10-2021 46.08
14-10-2021 46.05
13-10-2021 45.97
12-10-2021 45.81
11-10-2021 45.80
08-10-2021 45.74
07-10-2021 45.73
06-10-2021 45.50
05-10-2021 45.60
04-10-2021 45.55
01-10-2021 45.36
30-09-2021 45.41
29-09-2021 45.43
28-09-2021 45.44
27-09-2021 45.60
24-09-2021 45.62
23-09-2021 45.68
22-09-2021 45.49
21-09-2021 45.38