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Nav History

Nippon India GSF - Dir-Defined Maturity Date - Scheme Profile

Fund

Fund House : Nippon India Mutual Fund

Fund Class : Gilt Funds - Short Term

NAV 14 Jan 33.88 0.00
(0.00%)
Date Nav(Rs)
14-01-2022 33.88
13-01-2022 33.88
12-01-2022 33.84
11-01-2022 33.86
10-01-2022 33.84
07-01-2022 33.88
06-01-2022 33.89
05-01-2022 33.92
04-01-2022 33.91
03-01-2022 33.98
31-12-2021 33.97
30-12-2021 33.95
29-12-2021 33.94
28-12-2021 33.93
27-12-2021 33.95
24-12-2021 33.94
23-12-2021 33.95
22-12-2021 33.95
21-12-2021 33.96
20-12-2021 34.01