Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of Groww Nifty Private Bank Index Fund Reg Gr

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NAV Date NAV (Rs)
11-09-2026 10.204
10-09-2026 10.1558
09-09-2026 10.122
08-09-2026 10.219
07-09-2026 10.32
04-09-2026 10.3502
03-09-2026 10.322
02-09-2026 10.27
01-09-2026 10.328
31-08-2026 10.4194
28-08-2026 10.3206
27-08-2026 10.3288
26-08-2026 10.3194
25-08-2026 10.2142
24-08-2026 10.2348
21-08-2026 10.2685
20-08-2026 10.2163
19-08-2026 10.1272
18-08-2026 10.1424
17-08-2026 10.1665
14-08-2026 10.143
13-08-2026 10.1458
12-08-2026 10.2014
11-08-2026 10.1913
10-08-2026 10.2487
07-08-2026 10.1968
06-08-2026 10.3024
05-08-2026 10.3266
04-08-2026 10.3697
03-08-2026 10.438
31-07-2026 10.2263
30-07-2026 10.2237
29-07-2026 10.2422
28-07-2026 10.1389
27-07-2026 10.1801
24-07-2026 10.1382
23-07-2026 10.14
22-07-2026 10.2188
21-07-2026 10.3627
20-07-2026 10.356
17-07-2026 10.5964
16-07-2026 10.3744
15-07-2026 10.4065
14-07-2026 10.3749
13-07-2026 10.4634
10-07-2026 10.4384
09-07-2026 10.3179
08-07-2026 10.255
07-07-2026 10.5195
06-07-2026 10.5353
03-07-2026 10.4878
02-07-2026 10.4882
01-07-2026 10.4757
30-06-2026 10.3845
29-06-2026 10.4296
25-06-2026 10.5329
24-06-2026 10.5155
23-06-2026 10.3256
22-06-2026 10.4152
19-06-2026 10.3844
18-06-2026 10.4034
17-06-2026 10.3525
16-06-2026 10.3616
15-06-2026 10.3228
12-06-2026 10.2636
11-06-2026 9.9799
10-06-2026 9.926
09-06-2026 9.8557
08-06-2026 9.6974
05-06-2026 9.7639
04-06-2026 9.7416
03-06-2026 9.725
02-06-2026 9.6576
01-06-2026 9.6789
29-05-2026 9.7758
27-05-2026 9.8923

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