LIC MF Multi Asset Allocation Fund August 2025 728x90

Historical Mutual Fund NAV of Kotak Energy Opportunities Fund Reg Gr

Submit
NAV Date NAV (Rs)
05-09-2025 9.999
04-09-2025 10.007
03-09-2025 10.085
02-09-2025 10.04
01-09-2025 9.973
29-08-2025 9.88
28-08-2025 9.914
26-08-2025 9.958
25-08-2025 10.071
22-08-2025 10.084
21-08-2025 10.125
20-08-2025 10.134
19-08-2025 10.106
18-08-2025 10.04
14-08-2025 10.03
13-08-2025 10.085
12-08-2025 10.063
11-08-2025 10.037
08-08-2025 9.97
07-08-2025 9.998
06-08-2025 9.998
05-08-2025 10.022
04-08-2025 10.046
01-08-2025 10.071
31-07-2025 10.144
30-07-2025 10.21
29-07-2025 10.187
28-07-2025 10.117
25-07-2025 10.164
24-07-2025 10.34
23-07-2025 10.377
22-07-2025 10.32
21-07-2025 10.35
18-07-2025 10.344
17-07-2025 10.399
16-07-2025 10.378
15-07-2025 10.36
14-07-2025 10.321
11-07-2025 10.324
10-07-2025 10.412
09-07-2025 10.41
08-07-2025 10.461
07-07-2025 10.401
04-07-2025 10.382
03-07-2025 10.354
02-07-2025 10.349
01-07-2025 10.381
30-06-2025 10.41
27-06-2025 10.383
26-06-2025 10.305
25-06-2025 10.216
24-06-2025 10.198
23-06-2025 10.15
20-06-2025 10.164
19-06-2025 10.063
18-06-2025 10.17
17-06-2025 10.198
16-06-2025 10.229
13-06-2025 10.179
12-06-2025 10.231
11-06-2025 10.413
10-06-2025 10.381
09-06-2025 10.369
06-06-2025 10.263
05-06-2025 10.225
04-06-2025 10.205
03-06-2025 10.166
02-06-2025 10.213
30-05-2025 10.193
29-05-2025 10.27
28-05-2025 10.241
27-05-2025 10.243
26-05-2025 10.252
23-05-2025 10.193
22-05-2025 10.151
21-05-2025 10.183
20-05-2025 10.11
19-05-2025 10.165
16-05-2025 10.145
15-05-2025 10.109
14-05-2025 10.069
13-05-2025 10.035
12-05-2025 10.045
09-05-2025 10.008
08-05-2025 10.013
07-05-2025 10.02
06-05-2025 10.017
05-05-2025 10.02
02-05-2025 10.017

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