HSBC MF Retire With An SIP 728x90

Historical Mutual Fund NAV of 360 ONE Silver ETF

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NAV Date NAV (Rs)
01-07-2025 106.2728
30-06-2025 105.3987
27-06-2025 104.5299
26-06-2025 106.6882
25-06-2025 104.8163
24-06-2025 105.6757
23-06-2025 106.481
20-06-2025 106.1452
19-06-2025 106.878
18-06-2025 108.7532
17-06-2025 107.8952
16-06-2025 106.004
13-06-2025 105.6064
12-06-2025 104.7145
11-06-2025 105.2172
10-06-2025 106.0383
09-06-2025 105.232
06-06-2025 104.725
05-06-2025 103.7517
04-06-2025 101.0102
03-06-2025 100.0639
02-06-2025 97.4371
30-05-2025 97.2665
29-05-2025 97.772
28-05-2025 97.6949
27-05-2025 96.6994
26-05-2025 97.1818
23-05-2025 96.8906
22-05-2025 97.5409
21-05-2025 97.3287
20-05-2025 95.4669
19-05-2025 95.519
16-05-2025 94.8766
15-05-2025 94.5168
14-05-2025 96.1626
13-05-2025 96.8331
12-05-2025 93.9429
09-05-2025 95.6918
08-05-2025 95.4452
07-05-2025 95.5849
06-05-2025 95.7247
05-05-2025 94.1224
02-05-2025 94.3074
30-04-2025 94.135
29-04-2025 97.4071
28-04-2025 96.0958
25-04-2025 97.4805
24-04-2025 97.4739
23-04-2025 96.3562
22-04-2025 95.5806
21-04-2025 96.0836
17-04-2025 94.9719
16-04-2025 96.4788
15-04-2025 95.1801
11-04-2025 93.178
09-04-2025 90.643
08-04-2025 90.1786
07-04-2025 90.2634
04-04-2025 92.6462
03-04-2025 95.7619

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