HSBC MF SIP Top UP 728x90

Historical Mutual Fund NAV of LIC MF Multi Asset Allocation Fund Reg Gr

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NAV Date NAV (Rs)
31-03-2025 10.4732
28-03-2025 10.4743
27-03-2025 10.4867
26-03-2025 10.4198
25-03-2025 10.4817
24-03-2025 10.5353
21-03-2025 10.4365
20-03-2025 10.3552
19-03-2025 10.2868
18-03-2025 10.2044
17-03-2025 10.0581
13-03-2025 9.9889
12-03-2025 9.9999
11-03-2025 9.9814
10-03-2025 9.9624
07-03-2025 10.0391
06-03-2025 10.0362
05-03-2025 9.9698
04-03-2025 9.8744
03-03-2025 9.8244
28-02-2025 9.7807
27-02-2025 9.892
25-02-2025 9.9542
24-02-2025 9.9821
21-02-2025 10.0033
20-02-2025 10.0255
19-02-2025 10.0159
18-02-2025 9.9992

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