Mirae Asset MF Great Consumer Fund 728x90

Historical Mutual Fund NAV of ICICI Pru Nifty200 Value 30 Index Gr

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NAV Date NAV (Rs)
25-02-2025 8.2101
24-02-2025 8.3298
21-02-2025 8.4383
20-02-2025 8.4835
19-02-2025 8.3217
18-02-2025 8.2272
17-02-2025 8.1944
14-02-2025 8.1316
13-02-2025 8.2938
12-02-2025 8.2765
11-02-2025 8.2567
10-02-2025 8.4635
07-02-2025 8.6368
06-02-2025 8.608
05-02-2025 8.6767
04-02-2025 8.5513
03-02-2025 8.3525
31-01-2025 8.7314
30-01-2025 8.56
29-01-2025 8.4877
28-01-2025 8.3654
27-01-2025 8.3883
24-01-2025 8.5887
23-01-2025 8.7015
22-01-2025 8.6774
21-01-2025 8.7508
20-01-2025 8.8453
17-01-2025 8.7477
16-01-2025 8.6999
15-01-2025 8.575
14-01-2025 8.5378
13-01-2025 8.2677
10-01-2025 8.5637
09-01-2025 8.7601
08-01-2025 8.9082
07-01-2025 8.9294
06-01-2025 8.8712
03-01-2025 9.2042
02-01-2025 9.1481
01-01-2025 9.018
31-12-2024 9.0087
30-12-2024 8.9428
27-12-2024 9.0456
26-12-2024 9.1473
24-12-2024 9.1098
23-12-2024 9.1281
20-12-2024 9.0621
19-12-2024 9.2718
18-12-2024 9.3111
17-12-2024 9.495
16-12-2024 9.6753
13-12-2024 9.7212
12-12-2024 9.7321
11-12-2024 9.7963
10-12-2024 9.7745
09-12-2024 9.7384
06-12-2024 9.7507
05-12-2024 9.6759
04-12-2024 9.6452
03-12-2024 9.605
02-12-2024 9.4743
29-11-2024 9.4211
28-11-2024 9.3865
27-11-2024 9.4133
26-11-2024 9.3949
25-11-2024 9.378
22-11-2024 9.1752
21-11-2024 8.989
19-11-2024 9.0744
18-11-2024 9.0731
14-11-2024 9.0487
13-11-2024 9.0942
12-11-2024 9.2751
11-11-2024 9.4257
08-11-2024 9.4259
07-11-2024 9.575
06-11-2024 9.7029
05-11-2024 9.5563
04-11-2024 9.401
31-10-2024 9.5077
30-10-2024 9.5279
29-10-2024 9.5994
28-10-2024 9.461
25-10-2024 9.3049
24-10-2024 9.5739
23-10-2024 9.5233
22-10-2024 9.5615
21-10-2024 9.8594

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