360 One MF Flexicap Fund 728x90

Historical Mutual Fund NAV of ABSL Global Emerging Opp Reg IDCW

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NAV Date NAV (Rs)
23-01-2026 29.6087
22-01-2026 29.4633
21-01-2026 29.2713
20-01-2026 28.8133
16-01-2026 29.3897
14-01-2026 29.1323
13-01-2026 29.3135
12-01-2026 29.2565
09-01-2026 29.0634
08-01-2026 28.8569
07-01-2026 29.0564
06-01-2026 29.1527
05-01-2026 28.9317
31-12-2025 28.3836
30-12-2025 28.5467
24-12-2025 28.6235
23-12-2025 28.4996
22-12-2025 28.421
19-12-2025 28.2143
18-12-2025 28.1294
17-12-2025 27.8969
16-12-2025 28.4152
15-12-2025 28.4423
12-12-2025 28.51
11-12-2025 28.8185
10-12-2025 28.5795
09-12-2025 28.4603
08-12-2025 28.5704
05-12-2025 28.5932
04-12-2025 28.522
03-12-2025 28.5191
02-12-2025 28.4276
01-12-2025 28.1411
28-11-2025 28.2455
26-11-2025 28.0201
25-11-2025 27.793
24-11-2025 27.5143
21-11-2025 27.1834
20-11-2025 26.9573
19-11-2025 27.3083
18-11-2025 27.2625
17-11-2025 27.6431
14-11-2025 27.9161
13-11-2025 27.9929
12-11-2025 28.5019
11-11-2025 28.4331
10-11-2025 28.4715
07-11-2025 27.963
06-11-2025 27.9662
04-11-2025 28.3741
03-11-2025 28.83
31-10-2025 28.7762
30-10-2025 28.7661
29-10-2025 28.8903
28-10-2025 28.9423
27-10-2025 28.9075
24-10-2025 28.4975
23-10-2025 28.3798
20-10-2025 28.2446
17-10-2025 27.9968
16-10-2025 27.9635
15-10-2025 28.0886
14-10-2025 28.2514
13-10-2025 28.3302
10-10-2025 27.9635
09-10-2025 28.678
08-10-2025 28.7633
07-10-2025 28.5781
06-10-2025 28.7206
03-10-2025 28.7129
01-10-2025 28.5407
30-09-2025 28.52
29-09-2025 28.405
26-09-2025 28.228
25-09-2025 28.0295
24-09-2025 28.1722
23-09-2025 28.307
22-09-2025 28.294
19-09-2025 28.2302
18-09-2025 28.1597
17-09-2025 27.8977
16-09-2025 28.0405
15-09-2025 28.0954
12-09-2025 27.9644
11-09-2025 28.0834
10-09-2025 27.8006
09-09-2025 27.8165
08-09-2025 27.699
05-09-2025 27.5776
04-09-2025 27.537
03-09-2025 27.3518
02-09-2025 27.2554
29-08-2025 27.4909
28-08-2025 27.5408
26-08-2025 27.3587
25-08-2025 27.3288
22-08-2025 27.4359
21-08-2025 26.9919
20-08-2025 27.024
19-08-2025 27.0563
18-08-2025 27.3283
14-08-2025 27.3296
13-08-2025 27.3137
12-08-2025 27.3169
11-08-2025 27.0555
08-08-2025 27.1293
07-08-2025 27.0223
06-08-2025 27.2565
05-08-2025 27.1713
04-08-2025 27.3546
01-08-2025 26.8968
31-07-2025 27.396
30-07-2025 27.4641
29-07-2025 27.3137
28-07-2025 27.4835
25-07-2025 27.5047
24-07-2025 27.4421
23-07-2025 27.3689
22-07-2025 27.167
21-07-2025 27.2016
18-07-2025 27.1337
17-07-2025 27.1816
16-07-2025 26.9206
15-07-2025 26.9007
14-07-2025 27.0415
11-07-2025 26.9141
10-07-2025 27.0616
09-07-2025 27.2183
08-07-2025 27.0071
07-07-2025 27.201
03-07-2025 27.1251
02-07-2025 26.9697
01-07-2025 26.8891
30-06-2025 27.1579
27-06-2025 26.955
26-06-2025 26.8044
25-06-2025 26.6616
24-06-2025 26.7184
20-06-2025 26.314
18-06-2025 26.4894
17-06-2025 26.6168
16-06-2025 26.6953
13-06-2025 26.4417
12-06-2025 26.6136
11-06-2025 26.523
10-06-2025 26.5551
06-06-2025 26.6002
05-06-2025 26.5086
04-06-2025 26.5111
03-06-2025 26.2816
02-06-2025 26.1462
30-05-2025 26.0847
28-05-2025 25.9862
27-05-2025 26.1419
23-05-2025 25.6752
22-05-2025 26.0422
21-05-2025 25.9309
20-05-2025 26.2164
19-05-2025 26.2074
16-05-2025 26.1651
15-05-2025 25.9768
14-05-2025 25.7962
13-05-2025 25.7343
12-05-2025 25.3606
08-05-2025 25.0318
07-05-2025 24.7439
06-05-2025 24.5793
05-05-2025 24.7358
02-05-2025 24.8341
30-04-2025 24.2052
29-04-2025 24.2617
28-04-2025 24.1185
25-04-2025 24.2398
24-04-2025 24.0085
23-04-2025 23.4628
22-04-2025 23.0097
17-04-2025 23.0527
16-04-2025 23.1268
15-04-2025 23.555
11-04-2025 23.3755
09-04-2025 23.6383
08-04-2025 21.9017
07-04-2025 21.889
04-04-2025 21.9222
03-04-2025 23.2585
02-04-2025 24.1854
01-04-2025 24.06
31-03-2025 23.8163
28-03-2025 23.9073
27-03-2025 24.4705
26-03-2025 24.6035
25-03-2025 24.9322
24-03-2025 24.8134
21-03-2025 24.527
20-03-2025 24.6803
19-03-2025 24.8311
18-03-2025 24.646
17-03-2025 24.9548
13-03-2025 24.3099
12-03-2025 24.7882
11-03-2025 24.4931
10-03-2025 24.5575
07-03-2025 25.2404
06-03-2025 25.3045
05-03-2025 25.901
04-03-2025 25.5746
03-03-2025 25.7687
28-02-2025 26.1877
27-02-2025 25.8417

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