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Nav History

HDFC Dividend Yield Fund - Direct (IDCW) - Scheme Profile

Fund

Fund House : HDFC Mutual Fund

Fund Class : Equity - Diversified

NAV 25 Oct 14.43 -0.10
(-0.69%)
Date Nav(Rs)
25-10-2021 14.43
22-10-2021 14.53
21-10-2021 14.65
20-10-2021 14.68
19-10-2021 14.92
18-10-2021 15.13
14-10-2021 14.93
13-10-2021 14.82
12-10-2021 14.69
11-10-2021 14.67
08-10-2021 14.65
07-10-2021 14.55
06-10-2021 14.38
05-10-2021 14.52
04-10-2021 14.39
01-10-2021 14.22
30-09-2021 14.25
29-09-2021 14.21
28-09-2021 14.15
27-09-2021 14.19