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Nav History

AXIS Emerging Opportunities Fund - Sr.2 (G) - Scheme Profile

Fund

Fund House : Axis Mutual Fund

Fund Class : Equity - Diversified

NAV 28 Dec 14.64 0.01
(0.07%)
Date Nav(Rs)
28-12-2020 14.64
24-12-2020 14.63
23-12-2020 14.63
22-12-2020 14.63
21-12-2020 14.64
18-12-2020 14.67
17-12-2020 14.67
16-12-2020 14.69
15-12-2020 14.66
14-12-2020 14.65
11-12-2020 14.62
10-12-2020 14.60
09-12-2020 14.67
08-12-2020 14.67
07-12-2020 14.67
04-12-2020 14.62
03-12-2020 14.60
02-12-2020 14.62
01-12-2020 14.60
27-11-2020 14.60