Sundaram MF Multi Factor Fund 728x90

Historical Mutual Fund NAV of Motilal Oswal BSE 1000 Index Fund Reg Plan Gr

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NAV Date NAV (Rs)
21-08-2025 9.9557
20-08-2025 9.9517
19-08-2025 9.9226
18-08-2025 9.8615
14-08-2025 9.7531
13-08-2025 9.7614
12-08-2025 9.7089
11-08-2025 9.7318
08-08-2025 9.6514
07-08-2025 9.7592
06-08-2025 9.7493
05-08-2025 9.8074
04-08-2025 9.8351
01-08-2025 9.7583
31-07-2025 9.8639
30-07-2025 9.9143
29-07-2025 9.9033
28-07-2025 9.832
25-07-2025 9.9047
24-07-2025 10.0243
23-07-2025 10.0779
22-07-2025 10.0354
21-07-2025 10.0592
18-07-2025 10.0219
17-07-2025 10.078
16-07-2025 10.0969
15-07-2025 10.0865
14-07-2025 10.0255
11-07-2025 10.0154
10-07-2025 10.0935
09-07-2025 10.1235
08-07-2025 10.1299
07-07-2025 10.1174
04-07-2025 10.1245
03-07-2025 10.0999
02-07-2025 10.1112
01-07-2025 10.1402

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