Nippon India Asset Allocator FoF 728x90

Historical Mutual Fund NAV of Axis CRISIL IBX AAA Bond NBFC HFC Jun 2027 Index Fund Reg Gr

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NAV Date NAV (Rs)
31-03-2025 10.2365
28-03-2025 10.2316
27-03-2025 10.223
26-03-2025 10.2069
25-03-2025 10.2017
24-03-2025 10.2006
21-03-2025 10.1945
20-03-2025 10.1844
19-03-2025 10.1786
18-03-2025 10.1743
17-03-2025 10.1728
13-03-2025 10.1659
12-03-2025 10.1621
11-03-2025 10.1598
10-03-2025 10.1594
07-03-2025 10.1552
06-03-2025 10.1484
05-03-2025 10.1443
04-03-2025 10.1451
03-03-2025 10.1522
28-02-2025 10.1471
27-02-2025 10.1423
25-02-2025 10.143
24-02-2025 10.1427
21-02-2025 10.1415
20-02-2025 10.1373
18-02-2025 10.1318
17-02-2025 10.1278
14-02-2025 10.12
13-02-2025 10.118
12-02-2025 10.1166
11-02-2025 10.1118
10-02-2025 10.1121
07-02-2025 10.1111
06-02-2025 10.111
05-02-2025 10.1051
04-02-2025 10.0965
03-02-2025 10.0932
31-01-2025 10.0858
30-01-2025 10.0839
29-01-2025 10.0842
28-01-2025 10.0825
27-01-2025 10.0798
24-01-2025 10.0722
23-01-2025 10.0724
22-01-2025 10.0674
21-01-2025 10.0641
20-01-2025 10.0661
17-01-2025 10.058
16-01-2025 10.0473
15-01-2025 10.0388
14-01-2025 10.0315
13-01-2025 10.0403
10-01-2025 10.0401
09-01-2025 10.0382
08-01-2025 10.0363
07-01-2025 10.0345
06-01-2025 10.0341
03-01-2025 10.0286
02-01-2025 10.0256
01-01-2025 10.029
31-12-2024 10.0283
30-12-2024 10.0269
27-12-2024 10.0194
26-12-2024 10.0174
24-12-2024 10.0126
23-12-2024 10.0104
20-12-2024 10.004
19-12-2024 10.0058
18-12-2024 10.0071
17-12-2024 10.0051
16-12-2024 10.0058
13-12-2024 9.9999

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