Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of Axis Nifty 50 Equal Weight Index Fund Reg Gr

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NAV Date NAV (Rs)
11-09-2026 9.8146
10-09-2026 9.868
09-09-2026 9.8583
08-09-2026 9.9025
07-09-2026 9.928
04-09-2026 9.9936
03-09-2026 9.9847
02-09-2026 10.0145
01-09-2026 10.0656
31-08-2026 10.111
28-08-2026 10.1525
27-08-2026 10.1129
26-08-2026 10.1398
25-08-2026 10.1982
24-08-2026 10.1507
21-08-2026 10.1572
20-08-2026 10.1574
19-08-2026 10.1049
18-08-2026 10.1247
17-08-2026 10.1872
14-08-2026 10.2323
13-08-2026 10.2706
12-08-2026 10.261
11-08-2026 10.2943
10-08-2026 10.344
07-08-2026 10.3356
06-08-2026 10.3516
05-08-2026 10.3841
04-08-2026 10.3649
03-08-2026 10.4178
31-07-2026 10.2401
30-07-2026 10.2072
29-07-2026 10.1883
28-07-2026 10.0949

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