» Nav History

Nav History

Kotak India Growth Fund Series VII-Direct (G) - Scheme Profile

Fund

Fund House : Kotak Mahindra Mutual Fund

Fund Class : Equity - Diversified

NAV 31 Aug 15.10 0.00
(0.00%)
Date Nav(Rs)
31-08-2021 15.10
30-08-2021 15.10
27-08-2021 15.10
26-08-2021 15.07
25-08-2021 15.06
24-08-2021 15.07
23-08-2021 14.95
20-08-2021 14.93
18-08-2021 15.05
17-08-2021 15.08
16-08-2021 15.00
13-08-2021 15.02
12-08-2021 14.88
11-08-2021 14.78
10-08-2021 14.84
09-08-2021 14.82
06-08-2021 14.81
05-08-2021 14.85
04-08-2021 14.87
03-08-2021 14.78