Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of Sapphire Equity Long Short SIF Dir Gr

Submit
NAV Date NAV (Rs)
25-09-2026 983.6132
24-09-2026 980.4344
23-09-2026 997.1581
22-09-2026 990.2312
21-09-2026 994.1567
18-09-2026 994.1226
17-09-2026 985.3284
16-09-2026 980.5985
15-09-2026 977.833
11-09-2026 994.1722
10-09-2026 998.5986
09-09-2026 998.993
08-09-2026 1004.6049
07-09-2026 1006.2681
04-09-2026 1010.9485
03-09-2026 1011.9866
02-09-2026 1009.0745
01-09-2026 1013.4226
31-08-2026 1018.021
28-08-2026 1020.5539
27-08-2026 1017.9116
26-08-2026 1021.5397
25-08-2026 1021.9588
24-08-2026 1017.3407
21-08-2026 1017.9781
20-08-2026 1016.5365
19-08-2026 1012.1867
18-08-2026 1015.9453
17-08-2026 1019.9589
14-08-2026 1021.2505
13-08-2026 1024.3682
12-08-2026 1026.9271
11-08-2026 1025.5751
10-08-2026 1027.9606
07-08-2026 1029.7034
06-08-2026 1026.7179
05-08-2026 1026.05
04-08-2026 1024.069
03-08-2026 1026.994
31-07-2026 1014.097
30-07-2026 1009.332
29-07-2026 1009.2339
28-07-2026 999.3982
27-07-2026 1000.7452
24-07-2026 990.356
23-07-2026 992.6669
22-07-2026 998.6547
21-07-2026 1009.2921
20-07-2026 1006.9229
17-07-2026 1006.6806
16-07-2026 1003.6202
15-07-2026 1006.5016
14-07-2026 1004.6707
13-07-2026 1011.7826
10-07-2026 1012.7154
09-07-2026 1000.5518
08-07-2026 992.9225
07-07-2026 1010.5227
06-07-2026 1015.7306
03-07-2026 1009.8421
02-07-2026 1010.4821
01-07-2026 1005.8926
30-06-2026 1003.3225
29-06-2026 1005.4527
25-06-2026 1008.8986
24-06-2026 1009.0056
23-06-2026 1005.3505
22-06-2026 1016.4391
19-06-2026 1011.4084
18-06-2026 1011.239
17-06-2026 1005.9742
16-06-2026 1002.3743
15-06-2026 999.8883
12-06-2026 989.1887
11-06-2026 968.7248
10-06-2026 973.7109
09-06-2026 980.4789
08-06-2026 971.9113
05-06-2026 984.5275
04-06-2026 986.5906
03-06-2026 984.166
02-06-2026 984.9052
01-06-2026 981.2883
29-05-2026 991.7027
27-05-2026 1005.5917
26-05-2026 1003.2565
25-05-2026 1004.4547
22-05-2026 992.3694
21-05-2026 992.4973
20-05-2026 991.9472
19-05-2026 988.5561
18-05-2026 985.265
15-05-2026 988.382
14-05-2026 991.2602
13-05-2026 980.6736
12-05-2026 977.1849
11-05-2026 995.5646
08-05-2026 1009.762
07-05-2026 1015.0655
06-05-2026 1011.1715
05-05-2026 998.3543
04-05-2026 997.5808
29-04-2026 1000.0

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