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Nav History

HDFC Dynamic PE Ratio Fund of Funds - Dir ... - Scheme Profile

Fund

Fund House : HDFC Mutual Fund

Fund Class : Fund of Funds - Debt

NAV 07 Dec 24.77 0.11
(0.45%)
Date Nav(Rs)
07-12-2021 24.77
06-12-2021 24.66
03-12-2021 24.78
01-12-2021 24.68
30-11-2021 24.65
29-11-2021 24.51
26-11-2021 24.62
25-11-2021 24.91
24-11-2021 24.84
23-11-2021 24.84
22-11-2021 24.72
18-11-2021 24.94
17-11-2021 25.07
16-11-2021 25.11
15-11-2021 25.13
12-11-2021 25.14
11-11-2021 25.09
10-11-2021 25.17
09-11-2021 25.19
08-11-2021 25.15