ITI MF Multi Asset Allocation Fund NFO 728x90

Historical Mutual Fund NAV of Choice Overnight Fund Dly IDCW Dir Plan

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NAV Date NAV (Rs)
22-08-2026 100.1
21-08-2026 100.1
20-08-2026 100.1
19-08-2026 100.1
18-08-2026 100.1
17-08-2026 100.1
16-08-2026 100.1
14-08-2026 100.1
13-08-2026 100.1
12-08-2026 100.1
11-08-2026 100.1
10-08-2026 100.1
09-08-2026 100.1
08-08-2026 100.1
07-08-2026 100.1
06-08-2026 100.1
05-08-2026 100.1
04-08-2026 100.1
03-08-2026 100.1
02-08-2026 100.1
01-08-2026 100.1
31-07-2026 100.1
30-07-2026 100.1
29-07-2026 100.1
28-07-2026 100.1
27-07-2026 100.1
26-07-2026 100.1
25-07-2026 100.1
24-07-2026 100.1
23-07-2026 100.1
22-07-2026 100.1
21-07-2026 100.1
20-07-2026 100.2407
19-07-2026 100.2265
18-07-2026 100.2124
17-07-2026 100.1982
16-07-2026 100.1842
15-07-2026 100.1703
14-07-2026 100.1568
13-07-2026 100.1433
12-07-2026 100.1297
11-07-2026 100.1159
10-07-2026 100.1021
09-07-2026 100.0885
08-07-2026 100.0748
07-07-2026 100.0616
06-07-2026 100.048

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