HSBC MF SIP Top UP 728x90

Historical Mutual Fund NAV of Mirae Asset Nifty India New Age Consumption ETF FoF Reg Gr

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NAV Date NAV (Rs)
31-03-2025 8.602
28-03-2025 8.603
27-03-2025 8.733
26-03-2025 8.684
25-03-2025 8.701
24-03-2025 8.832
21-03-2025 8.776
20-03-2025 8.694
19-03-2025 8.612
18-03-2025 8.476
17-03-2025 8.288
13-03-2025 8.231
12-03-2025 8.305
11-03-2025 8.322
10-03-2025 8.24
07-03-2025 8.372
06-03-2025 8.421
05-03-2025 8.396
04-03-2025 8.233
03-03-2025 8.257
28-02-2025 8.225
27-02-2025 8.422
25-02-2025 8.537
24-02-2025 8.529
21-02-2025 8.579
20-02-2025 8.694
19-02-2025 8.628
18-02-2025 8.538
17-02-2025 8.571
14-02-2025 8.587
13-02-2025 8.759
12-02-2025 8.735
11-02-2025 8.776
10-02-2025 9.006
07-02-2025 9.179
06-02-2025 9.122
05-02-2025 9.294
04-02-2025 9.278
03-02-2025 9.303
31-01-2025 8.984
30-01-2025 8.862
29-01-2025 8.895
28-01-2025 8.739
27-01-2025 8.698
24-01-2025 8.879
23-01-2025 9.027
22-01-2025 8.897
21-01-2025 8.979
20-01-2025 9.289
17-01-2025 9.29
16-01-2025 9.257
15-01-2025 9.225
14-01-2025 9.11
13-01-2025 9.003
10-01-2025 9.404
09-01-2025 9.527
08-01-2025 9.634
07-01-2025 9.757
06-01-2025 9.765
03-01-2025 10.093

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