» Nav History

Nav History

Quant Active Fund - Direct (IDCW) - Scheme Profile

Fund

Fund House : Quant Mutual Fund

Fund Class : Equity - Diversified

NAV 30 Nov 49.27 -0.21
(-0.42%)
Date Nav(Rs)
30-11-2021 49.27
29-11-2021 49.48
26-11-2021 50.11
25-11-2021 51.57
24-11-2021 50.80
23-11-2021 50.87
22-11-2021 49.78
18-11-2021 50.82
17-11-2021 51.32
16-11-2021 51.37
15-11-2021 51.45
12-11-2021 51.56
11-11-2021 51.10
10-11-2021 51.53
09-11-2021 51.71
08-11-2021 51.14
03-11-2021 50.20
02-11-2021 50.26
01-11-2021 49.70
29-10-2021 48.88