Axis MF Balanced Advantage Fund February 2025 728x90

Historical Mutual Fund NAV of Tata Nifty Capital Markets Index Fund Reg Gr

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NAV Date NAV (Rs)
25-02-2025 9.0758
24-02-2025 9.1387
21-02-2025 9.2636
20-02-2025 9.3762
19-02-2025 9.095
18-02-2025 8.7236
17-02-2025 8.8047
14-02-2025 8.7963
13-02-2025 9.0487
12-02-2025 9.1019
11-02-2025 8.9991
10-02-2025 9.4848
07-02-2025 9.7327
06-02-2025 9.6692
05-02-2025 9.8836
04-02-2025 9.4335
03-02-2025 9.1971
31-01-2025 9.3406
30-01-2025 9.1921
29-01-2025 9.3793
28-01-2025 9.0723
27-01-2025 9.358
24-01-2025 9.9247
23-01-2025 10.0934
22-01-2025 9.9614
21-01-2025 10.1101
20-01-2025 10.4854
17-01-2025 10.4405
16-01-2025 10.5167
15-01-2025 10.3809
14-01-2025 9.9837
13-01-2025 9.7939
10-01-2025 10.0721
09-01-2025 10.339
08-01-2025 10.5614
07-01-2025 10.7363
06-01-2025 10.5472
03-01-2025 10.9781
02-01-2025 11.1581
01-01-2025 11.071
31-12-2024 10.9381
30-12-2024 10.9849
27-12-2024 10.9032
26-12-2024 11.0263
24-12-2024 10.9524
23-12-2024 10.9722
20-12-2024 11.0532
19-12-2024 11.4022
18-12-2024 11.311
17-12-2024 11.4076
16-12-2024 11.4599
13-12-2024 11.4045
12-12-2024 11.458
11-12-2024 11.4527
10-12-2024 11.3444
09-12-2024 11.3191
06-12-2024 11.1513
05-12-2024 10.9537
04-12-2024 10.4765
03-12-2024 10.3768
02-12-2024 10.3525
29-11-2024 10.2734
28-11-2024 10.1746
27-11-2024 10.1529
26-11-2024 10.047
25-11-2024 10.1211
22-11-2024 10.0103
21-11-2024 9.9773
19-11-2024 9.9492
18-11-2024 9.8409
14-11-2024 9.8202
13-11-2024 9.6788
12-11-2024 10.0702
11-11-2024 10.1751
08-11-2024 10.2886
07-11-2024 10.4017
06-11-2024 10.3425
05-11-2024 10.1476
04-11-2024 10.0032
31-10-2024 10.1168
30-10-2024 9.9469

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