Motilal Oswal Contra Fund NFO 728x90

Historical Mutual Fund NAV of Nippon India Nifty Auto ETF

Submit
NAV Date NAV (Rs)
07-05-2026 280.8604
06-05-2026 275.5521
05-05-2026 269.076
04-05-2026 267.389
30-04-2026 266.2645
29-04-2026 267.9915
28-04-2026 264.96
27-04-2026 267.66
24-04-2026 263.5538
23-04-2026 265.3549
22-04-2026 271.7448
21-04-2026 273.5441
20-04-2026 272.4888
17-04-2026 271.5966
16-04-2026 271.0621
15-04-2026 272.0943
13-04-2026 268.0057
10-04-2026 273.7249
09-04-2026 266.1379
08-04-2026 267.1774
07-04-2026 250.445
06-04-2026 250.2112
02-04-2026 247.5402
01-04-2026 249.0734
31-03-2026 244.2576
30-03-2026 244.2591
27-03-2026 250.1772
25-03-2026 257.3988
24-03-2026 251.8225
23-03-2026 245.8642
20-03-2026 253.8882
19-03-2026 251.7746
18-03-2026 262.9558
17-03-2026 258.0114
16-03-2026 252.6949
13-03-2026 248.5508
12-03-2026 257.8213
11-03-2026 266.323
10-03-2026 274.9912
09-03-2026 266.7417
06-03-2026 278.1405
05-03-2026 281.1216
04-03-2026 275.9963
02-03-2026 282.9039
27-02-2026 289.2582
26-02-2026 294.7445
25-02-2026 292.4208
24-02-2026 287.1279
23-02-2026 288.4313
20-02-2026 286.0762
19-02-2026 284.9213
18-02-2026 291.0083
17-02-2026 289.4285
16-02-2026 287.9295
13-02-2026 290.0474
12-02-2026 292.8146
11-02-2026 293.1712
10-02-2026 289.0945
09-02-2026 285.1778
06-02-2026 282.3956
05-02-2026 283.8832
04-02-2026 285.5345
03-02-2026 282.2035
02-02-2026 274.5047
01-02-2026 268.7812
30-01-2026 274.5222
29-01-2026 272.5084
28-01-2026 274.3776
27-01-2026 272.4972
23-01-2026 275.0716
22-01-2026 278.2064
21-01-2026 275.7583
20-01-2026 276.5475
19-01-2026 283.565
16-01-2026 283.1986
14-01-2026 284.489
13-01-2026 286.471
12-01-2026 287.4638
09-01-2026 288.2467
08-01-2026 291.6036
07-01-2026 294.4496
06-01-2026 296.8081
05-01-2026 296.5207
02-01-2026 295.5961
01-01-2026 292.2842
31-12-2025 289.3034
30-12-2025 286.2293
29-12-2025 283.1858
26-12-2025 284.7013
24-12-2025 286.1992
23-12-2025 286.2661
22-12-2025 286.199
19-12-2025 283.8658
18-12-2025 280.4293
17-12-2025 282.1464
16-12-2025 282.6909
15-12-2025 282.9579
12-12-2025 285.5538
11-12-2025 283.9164
10-12-2025 280.814
09-12-2025 281.2359
08-12-2025 283.2627
05-12-2025 286.7764
04-12-2025 284.6618
03-12-2025 283.7516
02-12-2025 287.1933
01-12-2025 287.3335
28-11-2025 285.0989
27-11-2025 283.3479
26-11-2025 284.3003
25-11-2025 281.0448
24-11-2025 281.6971
21-11-2025 282.6828
20-11-2025 282.8504
19-11-2025 281.6264
18-11-2025 280.9501
17-11-2025 281.9552
14-11-2025 279.5749
13-11-2025 281.0947
12-11-2025 282.145
11-11-2025 278.776
10-11-2025 275.8182
07-11-2025 274.9991
06-11-2025 273.4306
04-11-2025 273.2652
03-11-2025 275.6441
31-10-2025 275.3208
30-10-2025 275.5248
29-10-2025 276.7506
28-10-2025 278.7987
27-10-2025 279.9836
24-10-2025 278.3981
23-10-2025 279.5286
20-10-2025 279.1915
17-10-2025 279.6358
16-10-2025 277.7907
15-10-2025 274.302
14-10-2025 273.6047
13-10-2025 274.1974
10-10-2025 274.4385
09-10-2025 273.0637
08-10-2025 272.4025
07-10-2025 276.622
06-10-2025 275.8403
03-10-2025 274.7771
01-10-2025 274.9399
30-09-2025 272.6197
29-09-2025 271.5358
26-09-2025 272.0738
25-09-2025 274.8875
24-09-2025 277.4456
23-09-2025 280.6737
22-09-2025 278.9541
19-09-2025 279.6275
18-09-2025 280.7557
17-09-2025 280.4018
16-09-2025 278.8815
15-09-2025 274.9237
12-09-2025 276.016
11-09-2025 274.763
10-09-2025 275.6829
09-09-2025 279.2615
08-09-2025 279.3304
05-09-2025 270.4199
04-09-2025 267.0787
03-09-2025 264.8292
02-09-2025 262.8789
01-09-2025 263.6487
29-08-2025 256.4882
28-08-2025 258.7712
26-08-2025 260.174
25-08-2025 261.2346
22-08-2025 260.0737
21-08-2025 260.5665
20-08-2025 261.5067
19-08-2025 261.3786
18-08-2025 258.0068
14-08-2025 247.6869
13-08-2025 247.7278
12-08-2025 245.006
11-08-2025 243.6504
08-08-2025 241.1135
07-08-2025 244.5169
06-08-2025 243.914
05-08-2025 245.2167
04-08-2025 244.315
01-08-2025 240.4824
31-07-2025 242.3867
30-07-2025 243.2958
29-07-2025 244.7492
28-07-2025 242.6632
25-07-2025 243.5678
24-07-2025 246.6792
23-07-2025 246.4183
22-07-2025 244.347
21-07-2025 246.1731
18-07-2025 244.537
17-07-2025 245.6081
16-07-2025 245.6975
15-07-2025 244.6204
14-07-2025 241.0244
11-07-2025 240.4361
10-07-2025 244.7393
09-07-2025 245.0212
08-07-2025 244.0913
07-07-2025 245.0192
04-07-2025 245.3958
03-07-2025 245.1297
02-07-2025 244.0613
01-07-2025 243.2904
30-06-2025 243.7863
27-06-2025 245.1696
26-06-2025 244.7006
25-06-2025 243.3394
24-06-2025 241.0051
23-06-2025 239.6111
20-06-2025 241.814
19-06-2025 239.3253
18-06-2025 238.0791
17-06-2025 237.2136
16-06-2025 238.6524
13-06-2025 238.2397
12-06-2025 239.1017
11-06-2025 243.1149
10-06-2025 242.6454
09-06-2025 242.8314

Advisorkhoj develops innovative mutual fund research tools and Calculators that may help you in your investments. Mutual Fund Distributors who wish to display MF Research and calculators on their website may write to sales@advisorkhoj.com for APIs.

comments powered by Disqus
Feedback
Notification