UTI MF Multi Asset Allocation Fund 728x90

Historical Mutual Fund NAV of Mirae Asset Nifty Total Market Index Fund Reg IDCW

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NAV Date NAV (Rs)
27-02-2025 8.9563
25-02-2025 9.0076
24-02-2025 9.0313
21-02-2025 9.1294
20-02-2025 9.1907
19-02-2025 9.1455
18-02-2025 9.0879
17-02-2025 9.1115
14-02-2025 9.1066
13-02-2025 9.2333
12-02-2025 9.2366
11-02-2025 9.2512
10-02-2025 9.4418
07-02-2025 9.5675
06-02-2025 9.5799
05-02-2025 9.6256
04-02-2025 9.5967
03-02-2025 9.4537
31-01-2025 9.5348
30-01-2025 9.4062
29-01-2025 9.3841
28-01-2025 9.2358
27-01-2025 9.2366
24-01-2025 9.4222
23-01-2025 9.5228
22-01-2025 9.4618
21-01-2025 9.4831
20-01-2025 9.6498
17-01-2025 9.5931
16-01-2025 9.6028
15-01-2025 9.5277
14-01-2025 9.4978
13-01-2025 9.3917
10-01-2025 9.6435
09-01-2025 9.7579
08-01-2025 9.8417
07-01-2025 9.8919
06-01-2025 9.8347
03-01-2025 10.0548
02-01-2025 10.1019
01-01-2025 9.9562
31-12-2024 9.9065
30-12-2024 9.8956
27-12-2024 9.9377
26-12-2024 9.9304
24-12-2024 9.9219
23-12-2024 9.9232
20-12-2024 9.8879
19-12-2024 10.0808
18-12-2024 10.159
17-12-2024 10.2317
16-12-2024 10.3426
13-12-2024 10.3431
12-12-2024 10.3011
11-12-2024 10.3492
10-12-2024 10.3294
09-12-2024 10.3174
06-12-2024 10.3249
05-12-2024 10.3084
04-12-2024 10.2321
03-12-2024 10.1964
02-12-2024 10.1133
29-11-2024 10.0479
28-11-2024 9.9716
27-11-2024 10.0447
26-11-2024 9.9838
25-11-2024 9.9773
22-11-2024 9.8325
21-11-2024 9.6577
19-11-2024 9.7389
18-11-2024 9.6905
14-11-2024 9.7207
13-11-2024 9.6959
12-11-2024 9.8839
11-11-2024 9.9991
08-11-2024 10.0281
07-11-2024 10.1021
06-11-2024 10.1995
05-11-2024 10.0414
04-11-2024 9.9709
31-10-2024 10.0466
30-10-2024 10.0635
29-10-2024 10.0761

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