Axis MF Multicap Fund 728x90

Historical Mutual Fund NAV of Bajaj Finserv Low Duration Fund Reg IDCW

Submit
NAV Date NAV (Rs)
08-06-2026 1014.347
05-06-2026 1013.105
04-06-2026 1011.7112
03-06-2026 1011.4197
02-06-2026 1011.4014
01-06-2026 1010.931
29-05-2026 1010.1932
27-05-2026 1009.5422
26-05-2026 1009.2383
25-05-2026 1009.3055
22-05-2026 1008.7058
21-05-2026 1008.4412
20-05-2026 1009.3263
19-05-2026 1009.7094
18-05-2026 1009.4056
15-05-2026 1009.7496
14-05-2026 1010.0675
13-05-2026 1010.3169
12-05-2026 1010.3953
11-05-2026 1010.6348
08-05-2026 1010.6076
07-05-2026 1010.4509
06-05-2026 1010.213
05-05-2026 1009.7611
04-05-2026 1009.7876
30-04-2026 1008.8735
29-04-2026 1009.1497
28-04-2026 1009.4751
27-04-2026 1009.5249
24-04-2026 1009.3932
23-04-2026 1009.3419
22-04-2026 1009.6637
21-04-2026 1009.5551
20-04-2026 1009.5473
17-04-2026 1009.2442
16-04-2026 1009.3295
15-04-2026 1008.8613
13-04-2026 1007.9118
10-04-2026 1007.5082
09-04-2026 1007.1054
08-04-2026 1006.066
07-04-2026 1004.1943
06-04-2026 1003.6709
02-04-2026 1003.4182
31-03-2026 1003.5313
30-03-2026 1003.3595
27-03-2026 1002.6233
25-03-2026 1002.2302
24-03-2026 1001.9639
23-03-2026 1002.3052
20-03-2026 1002.9986
18-03-2026 1003.0806
17-03-2026 1002.3619
16-03-2026 1002.098
13-03-2026 1001.7351
12-03-2026 1002.4903
11-03-2026 1002.7385
10-03-2026 1002.3072
09-03-2026 1002.1197
06-03-2026 1002.1804
05-03-2026 1001.9649
04-03-2026 1001.9263
02-03-2026 1001.8812
27-02-2026 1001.6782
26-02-2026 1001.4734
25-02-2026 1001.2983
24-02-2026 1001.1352
23-02-2026 1000.9814

Advisorkhoj develops innovative mutual fund research tools and Calculators that may help you in your investments. Mutual Fund Distributors who wish to display MF Research and calculators on their website may write to sales@advisorkhoj.com for APIs.

comments powered by Disqus
Feedback
Notification