Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of Axis Nifty Capital Markets Index Fund Reg Plan

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NAV Date NAV (Rs)
11-09-2026 9.5796
10-09-2026 9.5475
09-09-2026 9.5652
08-09-2026 9.6858
07-09-2026 9.7337
04-09-2026 9.6664
03-09-2026 9.5561
02-09-2026 9.5481
01-09-2026 9.6169
31-08-2026 9.7854
28-08-2026 9.8261
27-08-2026 9.7471
26-08-2026 9.8674
25-08-2026 9.8248
24-08-2026 9.7334
21-08-2026 9.6734
20-08-2026 9.6324
19-08-2026 9.5033
18-08-2026 9.4829
17-08-2026 9.4879
14-08-2026 9.4371
13-08-2026 9.5426
12-08-2026 9.5271
11-08-2026 9.5225
10-08-2026 9.4477
07-08-2026 9.2866
06-08-2026 9.3064
05-08-2026 9.3704
04-08-2026 9.4246
03-08-2026 9.3952
31-07-2026 9.4713
30-07-2026 9.3381
29-07-2026 9.4337
28-07-2026 9.3616
27-07-2026 9.4443
24-07-2026 9.3605
23-07-2026 9.3845
22-07-2026 9.5097
21-07-2026 9.6093
20-07-2026 9.6616
17-07-2026 9.6117
16-07-2026 9.6248
15-07-2026 9.8609
14-07-2026 9.8073
13-07-2026 9.8762
10-07-2026 9.8817
09-07-2026 9.7537
08-07-2026 9.5344
07-07-2026 9.6441
06-07-2026 9.7925
03-07-2026 9.8838
02-07-2026 9.8706
01-07-2026 9.9033
30-06-2026 9.7129
29-06-2026 9.7244
25-06-2026 9.6963
24-06-2026 9.7308
23-06-2026 9.8106
22-06-2026 9.9559
19-06-2026 9.9238
18-06-2026 9.9009
17-06-2026 9.8226
16-06-2026 9.8606
15-06-2026 9.8374
12-06-2026 9.5446
11-06-2026 9.2282
10-06-2026 9.2996
09-06-2026 9.4717
08-06-2026 9.3227
05-06-2026 9.4147
04-06-2026 9.5479
03-06-2026 9.4416
02-06-2026 9.5339
01-06-2026 9.5821
31-05-2026 9.7718
29-05-2026 9.7722
27-05-2026 9.9545
26-05-2026 10.1215
25-05-2026 10.0819

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