Franklin India Multi Factor Fund NFO 728x90

Historical Mutual Fund NAV of Union Low Duration Fund Reg Plan IDCW

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NAV Date NAV (Rs)
18-11-2025 10.1882
17-11-2025 10.1855
14-11-2025 10.1816
13-11-2025 10.1815
12-11-2025 10.1804
11-11-2025 10.1787
10-11-2025 10.1756
07-11-2025 10.1708
06-11-2025 10.1698
04-11-2025 10.1662
03-11-2025 10.1641
31-10-2025 10.1589
30-10-2025 10.1574
29-10-2025 10.1558
28-10-2025 10.1551
27-10-2025 10.153
24-10-2025 10.1491
23-10-2025 10.1482
20-10-2025 10.1445
17-10-2025 10.1403
16-10-2025 10.1379
15-10-2025 10.137
14-10-2025 10.1349
13-10-2025 10.1332
10-10-2025 10.1284
09-10-2025 10.1267
08-10-2025 10.1258
07-10-2025 10.1245
06-10-2025 10.1214
03-10-2025 10.1156
01-10-2025 10.1096
30-09-2025 10.1061
29-09-2025 10.1023
26-09-2025 10.0971
25-09-2025 10.0955
24-09-2025 10.0941
23-09-2025 10.092
22-09-2025 10.0902
19-09-2025 10.086
18-09-2025 10.0844
17-09-2025 10.0824
16-09-2025 10.079
15-09-2025 10.0761
12-09-2025 10.0746
11-09-2025 10.0756
10-09-2025 10.0738
09-09-2025 10.0729
05-09-2025 10.0679
04-09-2025 10.0661
03-09-2025 10.0627
02-09-2025 10.0604
01-09-2025 10.0609
29-08-2025 10.0589
28-08-2025 10.0596
26-08-2025 10.054
25-08-2025 10.0552
22-08-2025 10.052
21-08-2025 10.0513
20-08-2025 10.05
19-08-2025 10.0473
18-08-2025 10.046
14-08-2025 10.0414
13-08-2025 10.0386
12-08-2025 10.04
11-08-2025 10.0415
08-08-2025 10.0389
07-08-2025 10.0376
06-08-2025 10.0364
05-08-2025 10.0392
04-08-2025 10.0365
01-08-2025 10.0298
31-07-2025 10.0272
30-07-2025 10.0255
29-07-2025 10.0244
28-07-2025 10.0243
25-07-2025 10.0214
24-07-2025 10.0212
23-07-2025 10.0195
22-07-2025 10.0175
21-07-2025 10.0146
18-07-2025 10.0119

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