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Nav History

Aditya Birla SL Floating Rate Fund-Direct (G) - Scheme Profile

NAV 07 Dec 279.66 0.03
(0.01%)
Date Nav(Rs)
07-12-2021 279.66
06-12-2021 279.63
03-12-2021 279.53
01-12-2021 279.44
30-11-2021 279.43
29-11-2021 279.40
26-11-2021 279.36
25-11-2021 279.32
24-11-2021 279.30
23-11-2021 279.30
22-11-2021 279.29
18-11-2021 279.17
17-11-2021 279.10
16-11-2021 279.12
15-11-2021 279.09
12-11-2021 278.95
11-11-2021 278.98
10-11-2021 278.98
09-11-2021 278.96
08-11-2021 278.86