Sundaram MF Multi Factor Fund 728x90

Historical Mutual Fund NAV of Motilal Oswal Nifty India Tourism ETF

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NAV Date NAV (Rs)
21-08-2025 93.657
20-08-2025 94.1986
19-08-2025 92.5085
18-08-2025 92.3401
14-08-2025 91.7785
13-08-2025 91.7086
12-08-2025 90.3198
11-08-2025 90.1
08-08-2025 89.2831
07-08-2025 90.4138
06-08-2025 90.6368
05-08-2025 90.9259
04-08-2025 91.0233
01-08-2025 90.3319
31-07-2025 91.206
30-07-2025 90.9475
29-07-2025 91.2231
28-07-2025 90.9085
25-07-2025 91.5314
24-07-2025 92.9034
23-07-2025 93.1879
22-07-2025 93.4217
21-07-2025 94.0939
18-07-2025 94.1834
17-07-2025 94.0462
16-07-2025 94.2278
15-07-2025 93.6776
14-07-2025 92.8282
11-07-2025 92.6605
10-07-2025 93.4436
09-07-2025 93.3452
08-07-2025 92.8224
07-07-2025 92.0528
04-07-2025 92.5887
03-07-2025 92.0913
02-07-2025 92.8701
01-07-2025 93.0202
30-06-2025 92.8218
27-06-2025 92.5567
26-06-2025 92.2703
25-06-2025 91.7822
24-06-2025 90.4092
23-06-2025 89.3021
20-06-2025 88.8863
19-06-2025 87.7706
18-06-2025 88.916
17-06-2025 88.9762
16-06-2025 89.5943
13-06-2025 88.338
12-06-2025 89.141

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