Markets

Market

NAV HISTORY

Go
You can view the history of all NAV. Search for the scheme to get more details.


Nippon India Banking and PSU Fund - Direct Plan
Fund : Nippon India Mutual Fund
Category : Debt - Banking & PSU
Type : Open Ended
NAV(08/10/2025) 21.9486
Percentage Returns :
1 Month Ago : 0.94%
3 Months Ago : 1.18%
1 Year Ago : 8.39%

NAV DateRepurcahse (₹)Sale (₹)Amount (₹)
08/10/202521.9521.9521.95
07/10/202521.9421.9421.94
06/10/202521.9221.9221.92
03/10/202521.9021.9021.90
01/10/202521.8721.8721.87
30/09/202521.8421.8421.84
29/09/202521.8421.8421.84
26/09/202521.8421.8421.84
25/09/202521.8321.8321.83
24/09/202521.8221.8221.82
23/09/202521.8221.8221.82
22/09/202521.8121.8121.81
19/09/202521.7921.7921.79
18/09/202521.7921.7921.79
17/09/202521.7921.7921.79
16/09/202521.7721.7721.77
15/09/202521.7721.7721.77
12/09/202521.7721.7721.77

Showing Page : 1 of 2