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Nav History

Motilal Oswal Liquid Fund - Regular (Div-F... - Scheme Profile

Fund

Fund House : Motilal Oswal Mutual Fund

Fund Class : Liquid Funds

NAV 20 Sep 10.01 0.00
(0.00%)
Date Nav(Rs)
20-09-2019 10.01
19-09-2019 10.01
18-09-2019 10.01
17-09-2019 10.01
16-09-2019 10.01
15-09-2019 10.01
13-09-2019 10.00
12-09-2019 10.03
11-09-2019 10.03
10-09-2019 10.03
09-09-2019 10.03
08-09-2019 10.03
06-09-2019 10.02
05-09-2019 10.02
04-09-2019 10.02
03-09-2019 10.02
02-09-2019 10.02
30-08-2019 10.01
29-08-2019 10.01
28-08-2019 10.01