ABSL MF Gamification FingoMF 728x90

Historical Mutual Fund NAV of Mirae Asset Nifty 50 Equal Weight ETF

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NAV Date NAV (Rs)
21-08-2025 319.497
20-08-2025 319.6255
19-08-2025 318.6125
18-08-2025 317.2168
14-08-2025 312.4017
13-08-2025 312.6418
12-08-2025 309.9872
11-08-2025 310.3558
08-08-2025 307.4066
07-08-2025 310.0592
06-08-2025 309.6044
05-08-2025 311.1219
04-08-2025 311.1357
01-08-2025 307.7468
31-07-2025 310.9632
30-07-2025 311.8965
29-07-2025 312.0527
28-07-2025 310.2774
25-07-2025 312.1639
24-07-2025 315.2989
23-07-2025 316.8971
22-07-2025 315.3726
21-07-2025 316.1316
18-07-2025 315.1828
17-07-2025 316.4784
16-07-2025 317.1169
15-07-2025 317.1647
14-07-2025 315.4493
11-07-2025 315.9536
10-07-2025 318.1968
09-07-2025 319.5337
08-07-2025 319.9981
07-07-2025 319.7175
04-07-2025 319.864
03-07-2025 319.9586
02-07-2025 320.5021
01-07-2025 321.046
30-06-2025 320.9555
27-06-2025 321.6877
26-06-2025 320.4132
25-06-2025 316.9897
24-06-2025 314.8403
23-06-2025 313.5746
20-06-2025 314.2471
19-06-2025 310.6923
18-06-2025 311.1647
17-06-2025 311.5215
16-06-2025 313.4572
13-06-2025 310.474
12-06-2025 312.1225
11-06-2025 315.7176
10-06-2025 315.4722
09-06-2025 314.6
06-06-2025 312.4795
05-06-2025 308.7627
04-06-2025 307.3915
03-06-2025 306.5014
02-06-2025 308.747
30-05-2025 309.0312
29-05-2025 310.9299
28-05-2025 309.7324
27-05-2025 311.0814
26-05-2025 312.4837
23-05-2025 310.7105
22-05-2025 307.3468
21-05-2025 309.9124
20-05-2025 308.149
19-05-2025 311.867
16-05-2025 312.5429
15-05-2025 312.3893
14-05-2025 306.8063
13-05-2025 304.956
12-05-2025 307.947
09-05-2025 297.58

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