ICICI Prudential Gold ETF 728x90

Historical Mutual Fund NAV of SBI Nifty 500 Index Fund Reg IDCW

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NAV Date NAV (Rs)
21-11-2024 8.9984
19-11-2024 9.0745
18-11-2024 9.031
14-11-2024 9.0581
13-11-2024 9.0371
12-11-2024 9.2088
11-11-2024 9.3161
08-11-2024 9.3392
07-11-2024 9.4051
06-11-2024 9.4977
05-11-2024 9.3516
04-11-2024 9.2854
31-10-2024 9.3566
30-10-2024 9.3805
29-10-2024 9.3993
28-10-2024 9.3359
25-10-2024 9.2743
24-10-2024 9.3935
23-10-2024 9.4157
22-10-2024 9.405
21-10-2024 9.5895
18-10-2024 9.6634
17-10-2024 9.6368
16-10-2024 9.7591
15-10-2024 9.7849
14-10-2024 9.7816
11-10-2024 9.7347
10-10-2024 9.7296
09-10-2024 9.7301
08-10-2024 9.6948
07-10-2024 9.5592
04-10-2024 9.7054

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