Sanchay All In One CRM 728x90

Historical Mutual Fund NAV of ICICI Pru Nifty Top 15 Equal Weight Index Fund Gr

Submit
NAV Date NAV (Rs)
09-10-2025 10.0934
08-10-2025 10.0546
07-10-2025 10.0634
06-10-2025 10.0731
03-10-2025 9.9737
01-10-2025 9.9393
30-09-2025 9.8676
29-09-2025 9.882
26-09-2025 9.9119
25-09-2025 9.9988
24-09-2025 10.0608
23-09-2025 10.0875
22-09-2025 10.0545
19-09-2025 10.1078
18-09-2025 10.1423
17-09-2025 10.1196
16-09-2025 10.0608
15-09-2025 9.9651
12-09-2025 9.9849
11-09-2025 9.9305
10-09-2025 9.9192
09-09-2025 9.8832
08-09-2025 9.8304
05-09-2025 9.7925
04-09-2025 9.7975
03-09-2025 9.752
02-09-2025 9.7136
01-09-2025 9.751
29-08-2025 9.6847
28-08-2025 9.7071
26-08-2025 9.7846
25-08-2025 9.8458
22-08-2025 9.8015
21-08-2025 9.867
20-08-2025 9.8548
19-08-2025 9.8163
18-08-2025 9.7705
14-08-2025 9.6218
13-08-2025 9.6152
12-08-2025 9.5821
11-08-2025 9.6119
08-08-2025 9.5332
07-08-2025 9.6317
06-08-2025 9.6277
05-08-2025 9.6539
04-08-2025 9.661
01-08-2025 9.6059
31-07-2025 9.6595
30-07-2025 9.6646
29-07-2025 9.6257
28-07-2025 9.5836
25-07-2025 9.6979
24-07-2025 9.7983
23-07-2025 9.8742
22-07-2025 9.8134
21-07-2025 9.8305
18-07-2025 9.8047
17-07-2025 9.8639
16-07-2025 9.9136
15-07-2025 9.8824
14-07-2025 9.8378
11-07-2025 9.882
10-07-2025 9.9411
09-07-2025 9.9818
08-07-2025 9.9789
07-07-2025 9.9521
04-07-2025 9.9351
03-07-2025 9.8852
02-07-2025 9.9133
01-07-2025 9.9481
30-06-2025 9.9494
27-06-2025 10.0211

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