Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of Mirae Asset BSE Large Mid (60:40) Stable Dividend 50 ETF

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NAV Date NAV (Rs)
22-09-2026 35.3769
21-09-2026 35.5721
18-09-2026 35.3759
17-09-2026 35.3427
16-09-2026 35.1134
15-09-2026 35.0037
11-09-2026 35.6926
10-09-2026 35.8934
09-09-2026 35.8645
08-09-2026 36.0944
07-09-2026 36.1442
04-09-2026 36.304
03-09-2026 36.2153
02-09-2026 36.3942
01-09-2026 36.5456
31-08-2026 36.7563
28-08-2026 36.8261
27-08-2026 36.6688
26-08-2026 36.8778
25-08-2026 36.9278
24-08-2026 36.7823
21-08-2026 36.8406
20-08-2026 36.8283
19-08-2026 36.5229
18-08-2026 36.7036
17-08-2026 36.8284

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