AMFI Unclaimed Assets Ko Claim Karna Asaan Hai728x90

Historical Mutual Fund NAV of Nippon India Nifty India Manufacturing ETF

Submit
NAV Date NAV (Rs)
19-12-2025 151.9001
18-12-2025 150.486
17-12-2025 151.0233
16-12-2025 151.308
15-12-2025 152.0258
12-12-2025 152.1681
11-12-2025 150.6549
10-12-2025 149.3525
09-12-2025 149.5693
08-12-2025 149.7175
05-12-2025 152.1214
04-12-2025 151.8559
03-12-2025 151.7651
02-12-2025 152.8414
01-12-2025 153.2095
28-11-2025 152.9787
27-11-2025 152.7415
26-11-2025 153.105
25-11-2025 150.8189
24-11-2025 150.6386
21-11-2025 151.9541
20-11-2025 153.3849
19-11-2025 153.074
18-11-2025 153.1586
17-11-2025 153.9865
14-11-2025 153.3838
13-11-2025 153.9484
12-11-2025 154.089
11-11-2025 153.1741
10-11-2025 152.096
07-11-2025 151.2238
06-11-2025 150.925
04-11-2025 152.1021
03-11-2025 153.1322
31-10-2025 152.4955
30-10-2025 152.778
29-10-2025 153.2521
28-10-2025 152.2068
27-10-2025 152.2317
24-10-2025 151.3877
23-10-2025 151.4271
20-10-2025 151.5169
17-10-2025 151.04
16-10-2025 150.8458
15-10-2025 149.8057
14-10-2025 149.0024
13-10-2025 149.9052
10-10-2025 150.5035
09-10-2025 149.8474
08-10-2025 148.6731
07-10-2025 150.0291
06-10-2025 149.8326
03-10-2025 149.5156
01-10-2025 148.7181
30-09-2025 147.6627
29-09-2025 147.4682
26-09-2025 147.408
25-09-2025 149.6574
24-09-2025 150.3457
23-09-2025 151.4775
22-09-2025 151.3116
19-09-2025 152.2819
18-09-2025 152.3557
17-09-2025 151.9575
16-09-2025 151.4414
15-09-2025 149.9458
12-09-2025 149.9856
11-09-2025 148.8293
10-09-2025 148.5864
09-09-2025 148.5781
08-09-2025 148.3954
05-09-2025 146.7612
04-09-2025 146.2284
03-09-2025 146.6407
02-09-2025 145.1431
01-09-2025 144.8801
29-08-2025 142.4109
28-08-2025 142.7605

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