Edelweiss MF SIP Campaign 728x90

Historical Mutual Fund NAV of Edelweiss Low Duration Fund Reg Plan IDCW Payout

Submit
NAV Date NAV (Rs)
06-06-2025 1022.758
05-06-2025 1020.823
04-06-2025 1020.4816
03-06-2025 1020.156
02-06-2025 1019.7012
30-05-2025 1019.3287
29-05-2025 1019.0844
28-05-2025 1018.8963
27-05-2025 1018.6125
26-05-2025 1018.3923
23-05-2025 1017.8095
22-05-2025 1017.6646
21-05-2025 1017.6033
20-05-2025 1017.2397
19-05-2025 1016.8312
16-05-2025 1016.1721
15-05-2025 1015.673
14-05-2025 1015.5503
13-05-2025 1014.9331
09-05-2025 1013.6084
08-05-2025 1014.0633
07-05-2025 1014.3583
06-05-2025 1014.2217
05-05-2025 1013.8536
02-05-2025 1013.3767
30-04-2025 1012.9054
29-04-2025 1012.9714
28-04-2025 1012.7398
25-04-2025 1012.2483
24-04-2025 1012.3672
23-04-2025 1012.0384
22-04-2025 1011.8229
21-04-2025 1011.6091
17-04-2025 1010.6991
16-04-2025 1010.3918
15-04-2025 1010.1357
11-04-2025 1009.4232
09-04-2025 1008.6365
08-04-2025 1008.0033
07-04-2025 1007.7829
04-04-2025 1007.3046
03-04-2025 1007.0105
02-04-2025 1006.3805
31-03-2025 1004.7516
28-03-2025 1004.2911
27-03-2025 1002.9324
26-03-2025 1002.8245
25-03-2025 1002.2525
24-03-2025 1002.1007
21-03-2025 1000.7313

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