LIC Multi Asset Allocation Coming Soon 728x90

Historical Mutual Fund NAV of ICICI Pru Nifty 500 Index Fund Gr

Submit
NAV Date NAV (Rs)
23-01-2025 9.6522
22-01-2025 9.5897
21-01-2025 9.606
20-01-2025 9.7715
17-01-2025 9.7162
16-01-2025 9.7263
15-01-2025 9.6542
14-01-2025 9.624
13-01-2025 9.5227
10-01-2025 9.7633
09-01-2025 9.8709
08-01-2025 9.9526
07-01-2025 10.0009
06-01-2025 9.9534
03-01-2025 10.162
02-01-2025 10.2112
01-01-2025 10.0621
31-12-2024 10.0152
30-12-2024 10.0073
27-12-2024 10.0475
26-12-2024 10.0411
24-12-2024 10.0293
23-12-2024 10.0336

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