Sanchay All In One CRM 728x90

Historical Mutual Fund NAV of Baroda BNP Paribas Gold ETF Fund of Funds Reg Gr

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NAV Date NAV (Rs)
09-10-2025 12.3298
08-10-2025 12.3149
07-10-2025 12.0849
06-10-2025 11.991
03-10-2025 11.7893
01-10-2025 11.8098
30-09-2025 11.6459
29-09-2025 11.6256
26-09-2025 11.4093
25-09-2025 11.4554
24-09-2025 11.5015
23-09-2025 11.5581
22-09-2025 11.3294
19-09-2025 11.0996
18-09-2025 11.1356
17-09-2025 11.1
16-09-2025 11.2076
15-09-2025 11.0545
12-09-2025 11.0858
11-09-2025 11.0096
10-09-2025 11.0397
09-09-2025 11.745
08-09-2025 10.9261
05-09-2025 10.782
04-09-2025 10.7269
03-09-2025 10.6771
02-09-2025 10.5664
01-09-2025 10.5762
29-08-2025 10.3793
28-08-2025 10.2776
26-08-2025 10.2221
25-08-2025 10.1817
22-08-2025 10.0755

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