» Nav History

Nav History

Sundaram Overnight Fund - Direct (G) - Scheme Profile

Fund

Fund House : Sundaram Mutual Fund

Fund Class : Liquid Funds

NAV 20 Sep 1035.93 0.15
(0.01%)
Date Nav(Rs)
20-09-2019 1035.93
19-09-2019 1035.78
18-09-2019 1035.63
17-09-2019 1035.47
16-09-2019 1035.32
15-09-2019 1035.17
14-09-2019 1035.02
13-09-2019 1034.87
12-09-2019 1034.72
11-09-2019 1034.57
10-09-2019 1034.42
09-09-2019 1034.27
08-09-2019 1034.12
07-09-2019 1033.97
06-09-2019 1033.82
05-09-2019 1033.67
04-09-2019 1033.52
03-09-2019 1033.37
02-09-2019 1033.22
30-08-2019 1032.77