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(21/07/2025) 21.7400
Percentage Returns :
1 Month Ago : 0.61%
3 Months Ago : 1.83%
1 Year Ago : 9.55%

NAV DateRepurcahse (₹)Sale (₹)Amount (₹)
21/07/202521.7421.7421.74
18/07/202521.7321.7321.73
17/07/202521.7221.7221.72
16/07/202521.7121.7121.71
15/07/202521.7021.7021.70
14/07/202521.7021.7021.70
11/07/202521.6921.6921.69
10/07/202521.6921.6921.69
09/07/202521.6921.6921.69
08/07/202521.6921.6921.69
07/07/202521.6921.6921.69
04/07/202521.6821.6821.68
03/07/202521.6821.6821.68
02/07/202521.6621.6621.66
01/07/202521.6421.6421.64
30/06/202521.6221.6221.62
27/06/202521.6121.6121.61
26/06/202521.6121.6121.61

Showing Page : 1 of 2