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NAV HISTORY
GO
Nippon India ETF Nifty 50 BeES
Fund :
Nippon India Mutual Fund
Category :
Equity - Index Fund
Type :
Open Ended
NAV(
24/04/2025
)
271.3827
Percentage Returns :
1 Month Ago :
2.48%
3 Months Ago :
5.15%
1 Year Ago :
9.49%
From Date
End Date
GO
Daily
Monthly
Yearly
NAV Date
Repurcahse (
₹
)
Sale (
₹
)
Amount (
₹
)
24/04/2025
271.38
271.38
271.38
23/04/2025
272.30
272.30
272.30
22/04/2025
270.49
270.49
270.49
21/04/2025
270.03
270.03
270.03
17/04/2025
266.96
266.96
266.96
16/04/2025
262.32
262.32
262.32
15/04/2025
261.11
261.11
261.11
11/04/2025
255.51
255.51
255.51
09/04/2025
250.71
250.71
250.71
08/04/2025
252.24
252.24
252.24
07/04/2025
248.05
248.05
248.05
04/04/2025
256.36
256.36
256.36
03/04/2025
260.23
260.23
260.23
02/04/2025
261.15
261.15
261.15
01/04/2025
259.29
259.29
259.29
31/03/2025
263.25
263.25
263.25
28/03/2025
263.25
263.25
263.25
27/03/2025
264.06
264.06
264.06
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