Axis MF Balanced Advantage Fund February 2025 728x90

Historical Mutual Fund NAV of Bandhan Nifty Alpha Low Volatility 30 Index Fund Reg Gr

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NAV Date NAV (Rs)
27-02-2025 9.2444
25-02-2025 9.3232
24-02-2025 9.3446
21-02-2025 9.429
20-02-2025 9.5422
19-02-2025 9.514
18-02-2025 9.5373
17-02-2025 9.5682
14-02-2025 9.5632
13-02-2025 9.6926
12-02-2025 9.6892
11-02-2025 9.7058
10-02-2025 9.8742
07-02-2025 9.9547
06-02-2025 9.9779
05-02-2025 9.9939
04-02-2025 9.996
03-02-2025 9.9143
31-01-2025 9.941
30-01-2025 9.8871
29-01-2025 9.8273
28-01-2025 9.678
27-01-2025 9.7346
24-01-2025 9.8969

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