LIC MF Multi Asset Allocation Fund August 2025 728x90

Historical Mutual Fund NAV of Groww Silver ETF

Submit
NAV Date NAV (Rs)
21-08-2025 112.092
20-08-2025 110.2416
19-08-2025 112.79
18-08-2025 113.3431
14-08-2025 114.1359
13-08-2025 114.4313
12-08-2025 112.5795
11-08-2025 112.9567
08-08-2025 114.0816
07-08-2025 114.4144
06-08-2025 112.6092
05-08-2025 111.5362
04-08-2025 110.9633
01-08-2025 108.9553
31-07-2025 109.5239
30-07-2025 112.7995
29-07-2025 112.6219
28-07-2025 112.2586
25-07-2025 113.6934
24-07-2025 114.1805
23-07-2025 115.1206
22-07-2025 113.5804
21-07-2025 112.704
18-07-2025 112.0635
17-07-2025 110.348
16-07-2025 110.8011
15-07-2025 111.2861
14-07-2025 113.1718
11-07-2025 109.7917
10-07-2025 106.8649
09-07-2025 106.7057
08-07-2025 107.0345
07-07-2025 106.7351
04-07-2025 106.9387
03-07-2025 107.0013
02-07-2025 105.7232
01-07-2025 106.3166
30-06-2025 105.4513
27-06-2025 104.5913
26-06-2025 106.7249
25-06-2025 104.8714
24-06-2025 105.7217
23-06-2025 106.5184
20-06-2025 106.1866
19-06-2025 106.9116
18-06-2025 108.7667
17-06-2025 107.9181
16-06-2025 106.0398
13-06-2025 105.6452
12-06-2025 104.7463
11-06-2025 105.25
10-06-2025 106.0731
09-06-2025 105.2657
06-06-2025 104.7585
05-06-2025 103.7867
04-06-2025 101.0491
03-06-2025 100.1059
02-06-2025 97.4875
30-05-2025 97.3178
29-05-2025 97.8219
28-05-2025 97.7452
27-05-2025 96.753
26-05-2025 97.2331
23-05-2025 96.9444
22-05-2025 97.6022

Advisorkhoj develops innovative mutual fund research tools and Calculators that may help you in your investments. Mutual Fund Distributors who wish to display MF Research and calculators on their website may write to sales@advisorkhoj.com for APIs.

comments powered by Disqus
Feedback
Notification