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NAV HISTORY
GO
Nippon India ETF Nifty Next 50 Junior BeES
Fund :
Nippon India Mutual Fund
Category :
Equity - Index Fund
Type :
Open Ended
NAV(
28/01/2026
)
732.9356
Percentage Returns :
1 Month Ago :
-1.1%
3 Months Ago :
-1.48%
1 Year Ago :
12.77%
From Date
End Date
GO
Daily
Monthly
Yearly
NAV Date
Repurcahse (
₹
)
Sale (
₹
)
Amount (
₹
)
28/01/2026
732.94
732.94
732.94
27/01/2026
716.73
716.73
716.73
23/01/2026
712.00
712.00
712.00
22/01/2026
726.28
726.28
726.28
21/01/2026
718.46
718.46
718.46
20/01/2026
721.11
721.11
721.11
19/01/2026
738.12
738.12
738.12
16/01/2026
739.89
739.89
739.89
14/01/2026
739.13
739.13
739.13
13/01/2026
736.29
736.29
736.29
12/01/2026
738.19
738.19
738.19
09/01/2026
735.98
735.98
735.98
08/01/2026
743.54
743.54
743.54
07/01/2026
759.60
759.60
759.60
06/01/2026
758.65
758.65
758.65
05/01/2026
756.63
756.63
756.63
02/01/2026
756.67
756.67
756.67
01/01/2026
748.71
748.71
748.71
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