Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of Choice Overnight Fund Gr Reg Plan

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NAV Date NAV (Rs)
13-09-2026 100.9611
12-09-2026 100.9485
11-09-2026 100.936
10-09-2026 100.9236
09-09-2026 100.9115
08-09-2026 100.8994
07-09-2026 100.8873
06-09-2026 100.8756
05-09-2026 100.8617
04-09-2026 100.8478
03-09-2026 100.8342
02-09-2026 100.8224
01-09-2026 100.81
31-08-2026 100.7971
30-08-2026 100.7839
29-08-2026 100.7704
28-08-2026 100.7568
27-08-2026 100.7434
26-08-2026 100.7302
25-08-2026 100.717
24-08-2026 100.7038
23-08-2026 100.6907
22-08-2026 100.6773
21-08-2026 100.6638
20-08-2026 100.6505
19-08-2026 100.6374
18-08-2026 100.6243
17-08-2026 100.6111
16-08-2026 100.598
14-08-2026 100.5707
13-08-2026 100.5572
12-08-2026 100.5439
11-08-2026 100.5308
10-08-2026 100.5176
09-08-2026 100.5041
08-08-2026 100.4911
07-08-2026 100.478
06-08-2026 100.4651
05-08-2026 100.4519
04-08-2026 100.4392
03-08-2026 100.4264
02-08-2026 100.4133
01-08-2026 100.3993
31-07-2026 100.3853
30-07-2026 100.3715
29-07-2026 100.3578
28-07-2026 100.344
27-07-2026 100.3297
26-07-2026 100.316
25-07-2026 100.3028
24-07-2026 100.2897
23-07-2026 100.2767
22-07-2026 100.2632
21-07-2026 100.2494
20-07-2026 100.2357
19-07-2026 100.2219
18-07-2026 100.208
17-07-2026 100.1941
16-07-2026 100.1804
15-07-2026 100.1668
14-07-2026 100.1536
13-07-2026 100.1404
12-07-2026 100.1271
11-07-2026 100.1136
10-07-2026 100.1001
09-07-2026 100.0867
08-07-2026 100.0734
07-07-2026 100.0605
06-07-2026 100.0471

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