ABSL MF Gamification FingoMF 728x90

Historical Mutual Fund NAV of Nippon India Nifty 500 Quality 50 Index Fund Reg Plan IDCW

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NAV Date NAV (Rs)
21-08-2025 10.6559
20-08-2025 10.6875
19-08-2025 10.6204
18-08-2025 10.5473
14-08-2025 10.4565
13-08-2025 10.5051
12-08-2025 10.4496
11-08-2025 10.4893
08-08-2025 10.4541
07-08-2025 10.5887
06-08-2025 10.5739
05-08-2025 10.6672
04-08-2025 10.6873
01-08-2025 10.5841
31-07-2025 10.6816
30-07-2025 10.748
29-07-2025 10.7187
28-07-2025 10.6321
25-07-2025 10.741
24-07-2025 10.9405
23-07-2025 11.1339
22-07-2025 11.1405
21-07-2025 11.1776
18-07-2025 11.1273
17-07-2025 11.1831
16-07-2025 11.1679
15-07-2025 11.1921
14-07-2025 11.0887
11-07-2025 11.0611
10-07-2025 11.1665
09-07-2025 11.2065
08-07-2025 11.1905
07-07-2025 11.2097
04-07-2025 11.2063
03-07-2025 11.1873
02-07-2025 11.1376
01-07-2025 11.2071
30-06-2025 11.2615
27-06-2025 11.205
26-06-2025 11.1364
25-06-2025 11.0739
24-06-2025 11.0388
23-06-2025 10.9622
20-06-2025 10.9121
19-06-2025 10.7898
18-06-2025 10.9744
17-06-2025 11.0206
16-06-2025 11.0355
13-06-2025 10.9697
12-06-2025 11.0271
11-06-2025 11.2401
10-06-2025 11.2632
09-06-2025 11.1879
06-06-2025 11.0588
05-06-2025 11.0177
04-06-2025 10.9369
03-06-2025 10.8626
02-06-2025 10.8985
30-05-2025 10.8521
29-05-2025 10.9437
28-05-2025 10.9038
27-05-2025 10.8602
26-05-2025 10.8722
23-05-2025 10.7805
22-05-2025 10.7024
21-05-2025 10.7498
20-05-2025 10.6217
19-05-2025 10.7746
16-05-2025 10.7823
15-05-2025 10.5916
14-05-2025 10.4358
13-05-2025 10.3059
12-05-2025 10.3011
09-05-2025 9.8833
08-05-2025 9.8746

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