Kotak MF Flexicap Fund 728x90

Historical Mutual Fund NAV of Choice Gold ETF

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NAV Date NAV (Rs)
23-01-2026 152.71
22-01-2026 149.3767
21-01-2026 152.2777
20-01-2026 145.9175
19-01-2026 142.6163
16-01-2026 140.1838
14-01-2026 140.6124
13-01-2026 138.8868
12-01-2026 139.0511
09-01-2026 135.8462
08-01-2026 134.5414
07-01-2026 135.3261
06-01-2026 135.4314
05-01-2026 135.0167
02-01-2026 133.441
01-01-2026 132.2812
31-12-2025 131.9921
30-12-2025 133.1401
29-12-2025 135.7532
26-12-2025 136.7888
24-12-2025 135.3883
23-12-2025 135.1107
22-12-2025 132.9259
19-12-2025 130.7548
18-12-2025 131.3247
17-12-2025 131.3217
16-12-2025 130.9683
15-12-2025 132.3105
12-12-2025 131.1004
11-12-2025 128.2086
10-12-2025 126.9967
09-12-2025 127.3101
08-12-2025 127.5632
05-12-2025 127.7624
04-12-2025 127.0082
03-12-2025 127.416
02-12-2025 126.6628
01-12-2025 128.066
28-11-2025 125.6513
27-11-2025 125.1093
26-11-2025 125.2991
25-11-2025 124.3568
24-11-2025 122.5076
21-11-2025 122.311
20-11-2025 121.9859
19-11-2025 123.1679
18-11-2025 121.295
17-11-2025 122.6379
14-11-2025 124.3888
13-11-2025 126.2186
12-11-2025 123.1053
11-11-2025 123.3476
10-11-2025 121.5989
07-11-2025 119.7982

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