Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of Groww Nifty Private Bank ETF

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NAV Date NAV (Rs)
11-09-2026 27.56
10-09-2026 27.4297
09-09-2026 27.338
08-09-2026 27.5994
07-09-2026 27.8716
04-09-2026 27.9513
03-09-2026 27.8746
02-09-2026 27.7333
01-09-2026 27.8893
31-08-2026 28.134
28-08-2026 27.8653
27-08-2026 27.8869
26-08-2026 27.8616
25-08-2026 27.5759
24-08-2026 27.6306
21-08-2026 27.7202
20-08-2026 27.5789
19-08-2026 27.3371
18-08-2026 27.3776
17-08-2026 27.4411
14-08-2026 27.3753
13-08-2026 27.3821
12-08-2026 27.5304
11-08-2026 27.5025
10-08-2026 27.6569
07-08-2026 27.5154
06-08-2026 27.7996
05-08-2026 27.864
04-08-2026 27.9802
03-08-2026 28.1648
31-07-2026 27.593
30-07-2026 27.5856
29-07-2026 27.6379
28-07-2026 27.358
27-07-2026 27.4685
24-07-2026 27.3533
23-07-2026 27.3572
22-07-2026 27.5693
21-07-2026 27.9569
20-07-2026 27.9372
17-07-2026 28.583
16-07-2026 27.9824
15-07-2026 28.0694
14-07-2026 27.9834
13-07-2026 28.2213
10-07-2026 28.1519
09-07-2026 27.8273
08-07-2026 27.6567
07-07-2026 28.3693
06-07-2026 28.4112
03-07-2026 28.2805
02-07-2026 28.2804
01-07-2026 28.2432
30-06-2026 27.9954
29-06-2026 28.1162
25-06-2026 28.3914
24-06-2026 28.3438
23-06-2026 27.8302
22-06-2026 28.0456
19-06-2026 27.9605
18-06-2026 28.0108
17-06-2026 27.8732
16-06-2026 27.897
15-06-2026 27.7922
12-06-2026 27.6313
11-06-2026 26.8698
10-06-2026 26.7244
09-06-2026 26.5345
08-06-2026 26.1087
05-06-2026 26.2855
04-06-2026 26.2252
03-06-2026 26.1805
02-06-2026 25.9993
01-06-2026 26.056
29-05-2026 26.314
27-05-2026 26.6257
26-05-2026 26.7474
25-05-2026 26.9099

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