» Nav History

Nav History

IDFC Bond Fund - STP - Direct (IDCW-A) - Scheme Profile

Fund

Fund House : IDFC Mutual Fund

Fund Class : Short Term Income Funds

NAV 26 Nov 11.02 0.00
(0.00%)
Date Nav(Rs)
26-11-2021 11.02
25-11-2021 11.02
24-11-2021 11.01
23-11-2021 11.01
22-11-2021 11.01
18-11-2021 11.01
17-11-2021 11.01
16-11-2021 11.00
15-11-2021 11.00
12-11-2021 11.00
11-11-2021 11.00
10-11-2021 11.00
09-11-2021 11.00
08-11-2021 11.00
03-11-2021 10.98
02-11-2021 10.98
01-11-2021 10.97
29-10-2021 10.97
28-10-2021 10.97
27-10-2021 10.98