Franklin India Multi Factor Fund NFO 728x90

Historical Mutual Fund NAV of BAJAJ FINSERV EQUITY SAVINGS FUND Reg IDCW

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NAV Date NAV (Rs)
18-11-2025 10.11
17-11-2025 10.11
14-11-2025 10.102
13-11-2025 10.1
12-11-2025 10.09
11-11-2025 10.08
10-11-2025 10.08
07-11-2025 10.079
06-11-2025 10.085
04-11-2025 10.09
03-11-2025 10.088
31-10-2025 10.077
30-10-2025 10.085
29-10-2025 10.085
28-10-2025 10.081
27-10-2025 10.082
24-10-2025 10.082
23-10-2025 10.085
20-10-2025 10.084
17-10-2025 10.073
16-10-2025 10.062
15-10-2025 10.048
14-10-2025 10.045
13-10-2025 10.042
10-10-2025 10.044
09-10-2025 10.039
08-10-2025 10.042
07-10-2025 10.037
06-10-2025 10.037
03-10-2025 10.033
01-10-2025 10.028
30-09-2025 10.012
29-09-2025 10.01
26-09-2025 10.012
25-09-2025 10.014
24-09-2025 10.025
23-09-2025 10.023
22-09-2025 10.031
19-09-2025 10.033
18-09-2025 10.037
17-09-2025 10.033
16-09-2025 10.033
15-09-2025 10.031
12-09-2025 10.032
11-09-2025 10.029
10-09-2025 10.028
09-09-2025 10.029
08-09-2025 10.027
05-09-2025 10.029
04-09-2025 10.028
03-09-2025 10.028
02-09-2025 10.027
01-09-2025 10.026
29-08-2025 10.024
28-08-2025 10.023
26-08-2025 10.021
25-08-2025 10.019
22-08-2025 10.016
21-08-2025 10.015

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