Wealth Company Gold ETF NFO 728x90

Historical Mutual Fund NAV of Parag Parikh Flexi Cap Fund Reg Plan IDCW

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NAV Date NAV (Rs)
19-12-2025 86.4022
18-12-2025 86.1787
17-12-2025 86.1182
16-12-2025 86.423
15-12-2025 86.6444
12-12-2025 86.7254
11-12-2025 86.7062
10-12-2025 86.509
09-12-2025 86.5551
08-12-2025 86.7758
05-12-2025 87.2984
04-12-2025 86.9101
03-12-2025 86.8214
02-12-2025 86.7361
01-12-2025 86.9092
28-11-2025 86.9706
27-11-2025 86.839
26-11-2025 86.9678
25-11-2025 86.4136
24-11-2025 86.4471
21-11-2025 86.4403
20-11-2025 86.4483
19-11-2025 86.3497
18-11-2025 86.1263
17-11-2025 86.5374
14-11-2025 86.3403
13-11-2025 86.0817
12-11-2025 86.2342
11-11-2025 86.244
10-11-2025 86.151
07-11-2025 85.6667
06-11-2025 85.8846
04-11-2025 85.9381
03-11-2025 86.5108
31-10-2025 86.4685

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