ICICI Prudential Gold ETF 728x90

Historical Mutual Fund NAV of Axis Treasury Advtg Ret Mly IDCW

Submit
NAV Date NAV (Rs)
21-11-2024 1014.9203
19-11-2024 1014.6834
18-11-2024 1014.4543
14-11-2024 1013.7004
13-11-2024 1013.5005
12-11-2024 1013.3531
11-11-2024 1013.1048
08-11-2024 1012.5044
07-11-2024 1012.1889
06-11-2024 1011.8645
05-11-2024 1011.6865
04-11-2024 1011.5318
31-10-2024 1010.8331
30-10-2024 1010.5899
29-10-2024 1010.4066
28-10-2024 1010.0401
25-10-2024 1009.6059
24-10-2024 1016.0872
23-10-2024 1015.8779
22-10-2024 1015.5347
21-10-2024 1015.4972
18-10-2024 1015.0614
17-10-2024 1014.9802
16-10-2024 1014.7621
15-10-2024 1014.7511
14-10-2024 1014.6366
11-10-2024 1014.0378
10-10-2024 1013.438
09-10-2024 1013.2151
08-10-2024 1012.6643
07-10-2024 1012.3836
04-10-2024 1011.901
03-10-2024 1011.6838
01-10-2024 1011.2689
30-09-2024 1010.8294
27-09-2024 1010.0864
26-09-2024 1009.9401
25-09-2024 1009.6059
24-09-2024 1015.0953
23-09-2024 1014.9229
20-09-2024 1014.3419
19-09-2024 1014.0883
17-09-2024 1013.5135
16-09-2024 1013.3953
13-09-2024 1012.7939
12-09-2024 1012.4196
11-09-2024 1012.3024
10-09-2024 1012.0936
09-09-2024 1011.94
06-09-2024 1011.4709
05-09-2024 1011.3064
04-09-2024 1011.159
03-09-2024 1010.9398
02-09-2024 1010.7295
31-08-2024 1010.3764
30-08-2024 1010.1775
29-08-2024 1010.0791
28-08-2024 1009.9552
27-08-2024 1009.7615
26-08-2024 1009.6059
23-08-2024 1015.6217
22-08-2024 1015.3738
21-08-2024 1015.1255
20-08-2024 1014.9162
19-08-2024 1014.6512
16-08-2024 1014.0107
14-08-2024 1013.6515
13-08-2024 1013.5364
12-08-2024 1013.3443
09-08-2024 1012.7085
08-08-2024 1012.5539
07-08-2024 1012.3269
06-08-2024 1012.1561
05-08-2024 1012.0218
02-08-2024 1011.4678
01-08-2024 1011.2231
31-07-2024 1010.9107
30-07-2024 1010.8102
29-07-2024 1010.6675
26-07-2024 1010.0073
25-07-2024 1009.6059
24-07-2024 1015.8956
23-07-2024 1015.6633
22-07-2024 1015.4712
19-07-2024 1014.8641
18-07-2024 1014.6803
16-07-2024 1014.2664
15-07-2024 1014.0019
12-07-2024 1013.4338
11-07-2024 1013.198
10-07-2024 1012.8861
09-07-2024 1012.7174
08-07-2024 1012.5445
05-07-2024 1011.9312
04-07-2024 1011.7297
03-07-2024 1011.4454
02-07-2024 1011.1788
01-07-2024 1010.8289
28-06-2024 1010.1854
27-06-2024 1009.8662
26-06-2024 1009.7365
25-06-2024 1009.6059
24-06-2024 1014.9927
21-06-2024 1014.4424
20-06-2024 1014.2143
19-06-2024 1013.9805
18-06-2024 1013.7197
14-06-2024 1012.9095
13-06-2024 1012.7184
12-06-2024 1012.5169
11-06-2024 1012.3045
10-06-2024 1012.0348
07-06-2024 1011.3996
06-06-2024 1011.0866
05-06-2024 1010.7503
04-06-2024 1010.5644
03-06-2024 1010.8497
31-05-2024 1010.1021
30-05-2024 1009.9068
29-05-2024 1009.8011
28-05-2024 1009.6371
27-05-2024 1009.6059
24-05-2024 1015.4738
22-05-2024 1015.0661
21-05-2024 1014.7595
17-05-2024 1013.8545
16-05-2024 1013.7087
15-05-2024 1013.4932
14-05-2024 1013.2052
13-05-2024 1012.8481
10-05-2024 1012.2857
09-05-2024 1012.0775
08-05-2024 1011.9681
07-05-2024 1011.9213
06-05-2024 1011.7588
03-05-2024 1011.0861
02-05-2024 1010.8628
30-04-2024 1010.3863
29-04-2024 1010.2333
26-04-2024 1009.7803
25-04-2024 1009.6059
24-04-2024 1016.2585
23-04-2024 1016.1476
22-04-2024 1015.8919
19-04-2024 1015.2687
18-04-2024 1015.3155
16-04-2024 1014.9792
15-04-2024 1014.7985
12-04-2024 1014.1805
10-04-2024 1013.9436
08-04-2024 1013.2766
05-04-2024 1012.8205
04-04-2024 1012.4138
03-04-2024 1012.04
02-04-2024 1011.8026
31-03-2024 1011.1772
28-03-2024 1010.6029
27-03-2024 1009.6949
26-03-2024 1009.6059
22-03-2024 1015.227
21-03-2024 1015.0692
20-03-2024 1014.7339
19-03-2024 1014.5434
18-03-2024 1014.3716
15-03-2024 1013.7863
14-03-2024 1013.6239
13-03-2024 1013.6056
12-03-2024 1013.3401
11-03-2024 1012.8517
07-03-2024 1011.9015
06-03-2024 1011.6844
05-03-2024 1011.336
04-03-2024 1011.1366
01-03-2024 1010.4493
29-02-2024 1010.2343
28-02-2024 1009.987
27-02-2024 1009.7959
26-02-2024 1009.6059
23-02-2024 1015.7836
22-02-2024 1015.5582
21-02-2024 1015.1598
20-02-2024 1014.8927
16-02-2024 1014.0305
15-02-2024 1013.8092
14-02-2024 1013.5317
13-02-2024 1013.4031
12-02-2024 1013.2224
09-02-2024 1012.7757
08-02-2024 1012.6726
07-02-2024 1012.4164
06-02-2024 1012.2571
05-02-2024 1012.1009
02-02-2024 1011.6141
01-02-2024 1011.1554
31-01-2024 1010.7274
30-01-2024 1010.503
29-01-2024 1010.4363
25-01-2024 1009.6059
24-01-2024 1015.3379
23-01-2024 1015.2551
19-01-2024 1014.4783
18-01-2024 1014.3424
17-01-2024 1014.2601
16-01-2024 1014.0659
15-01-2024 1013.9769
12-01-2024 1013.2729
11-01-2024 1013.0423
10-01-2024 1012.871
09-01-2024 1012.6632
08-01-2024 1012.4008
05-01-2024 1011.7583
04-01-2024 1011.5183
03-01-2024 1011.3626
02-01-2024 1011.146
01-01-2024 1011.0986
29-12-2023 1010.4775
28-12-2023 1009.9188
27-12-2023 1009.7542
26-12-2023 1009.6059
22-12-2023 1014.1831
21-12-2023 1013.9613

Advisorkhoj develops innovative mutual fund research tools and Calculators that may help you in your investments. Mutual Fund Distributors who wish to display MF Research and calculators on their website may write to sales@advisorkhoj.com for APIs.

comments powered by Disqus
Feedback
Notification