» Nav History

Nav History

Baroda Banking&Fin Serv Fund - Plan B-Dir (G) - Scheme Profile

Fund

Fund House : Baroda Mutual Fund

Fund Class : Equity - Banking

NAV 07 Dec 30.76 0.67
(2.23%)
Date Nav(Rs)
07-12-2021 30.76
06-12-2021 30.09
03-12-2021 30.51
01-12-2021 30.57
30-11-2021 29.99
29-11-2021 30.18
26-11-2021 30.24
25-11-2021 31.32
24-11-2021 31.45
23-11-2021 31.39
22-11-2021 31.33
18-11-2021 32.03
17-11-2021 32.23
16-11-2021 32.38
15-11-2021 32.74
12-11-2021 32.77
11-11-2021 32.54
10-11-2021 32.91
09-11-2021 33.23
08-11-2021 33.34