Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of DSP Nifty FMCG ETF

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NAV Date NAV (Rs)
11-09-2026 45.256
10-09-2026 45.3881
09-09-2026 45.5124
08-09-2026 45.9544
07-09-2026 45.7967
04-09-2026 46.0988
03-09-2026 46.162
02-09-2026 46.4483
01-09-2026 46.6659
31-08-2026 46.2329
28-08-2026 47.0253
27-08-2026 47.2417
26-08-2026 47.4651
25-08-2026 47.9208
24-08-2026 47.7414
21-08-2026 47.7251
20-08-2026 48.0748
19-08-2026 47.6844
18-08-2026 47.9463
17-08-2026 48.3179
14-08-2026 48.8299
13-08-2026 49.0529
12-08-2026 48.6351
11-08-2026 48.9942
10-08-2026 49.5706
07-08-2026 49.643
06-08-2026 49.5744
05-08-2026 49.5882
04-08-2026 49.7322
03-08-2026 50.1712
31-07-2026 49.327
30-07-2026 49.7931
29-07-2026 49.8316
28-07-2026 49.028
27-07-2026 49.7076
24-07-2026 49.2
23-07-2026 49.1769
22-07-2026 49.3764
21-07-2026 49.062
20-07-2026 49.2115
17-07-2026 48.8956
16-07-2026 48.5418
15-07-2026 48.4213
14-07-2026 48.6585
13-07-2026 48.9417
10-07-2026 49.4399
09-07-2026 49.4552
08-07-2026 49.0851
07-07-2026 50.3074
06-07-2026 50.2784
03-07-2026 50.1801
02-07-2026 50.1687
01-07-2026 49.8934
30-06-2026 48.8897
29-06-2026 49.2206
25-06-2026 49.5105
24-06-2026 49.1795
23-06-2026 49.154
22-06-2026 49.3537
19-06-2026 49.5563
18-06-2026 49.6514
17-06-2026 49.5543
16-06-2026 49.6401
15-06-2026 49.0467
12-06-2026 48.8335
11-06-2026 48.5308
10-06-2026 48.9624
09-06-2026 48.4575
08-06-2026 48.1122
05-06-2026 48.3148
04-06-2026 48.2295
03-06-2026 48.1386
02-06-2026 48.6233
01-06-2026 48.2618
29-05-2026 49.3723
27-05-2026 50.1242
26-05-2026 50.2089
25-05-2026 50.1398
22-05-2026 50.2007
21-05-2026 50.2146
20-05-2026 50.4704
19-05-2026 50.825
18-05-2026 50.8414

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