Edelweiss MF SIP Campaign 728x90

Historical Mutual Fund NAV of HDFC CRISILIBX Fin Services 3-6 Months Debt Index Fund Reg Gr Plan

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NAV Date NAV (Rs)
04-07-2025 10.124
03-07-2025 10.1231
02-07-2025 10.1203
01-07-2025 10.1157
30-06-2025 10.108
27-06-2025 10.1016
26-06-2025 10.1
25-06-2025 10.0988
24-06-2025 10.0978
23-06-2025 10.0956
20-06-2025 10.0896
19-06-2025 10.0886
18-06-2025 10.0861
17-06-2025 10.085
16-06-2025 10.0833
13-06-2025 10.0781
12-06-2025 10.0755
11-06-2025 10.0732
10-06-2025 10.0748
09-06-2025 10.0743
06-06-2025 10.0688
05-06-2025 10.0623
04-06-2025 10.0603
03-06-2025 10.0585
02-06-2025 10.056
30-05-2025 10.0503
29-05-2025 10.0486
28-05-2025 10.0467
27-05-2025 10.0452
26-05-2025 10.0436
23-05-2025 10.0374
22-05-2025 10.0344
21-05-2025 10.0331
20-05-2025 10.0307
19-05-2025 10.0275
16-05-2025 10.0216
15-05-2025 10.0186
14-05-2025 10.0167
13-05-2025 10.0132
09-05-2025 10.0049
08-05-2025 10.0051
07-05-2025 10.0039
06-05-2025 10.0025

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