Mirae Asset Partner With Us SEP 2026 728x90

Historical Mutual Fund NAV of WSIF Equity Long Short Fund Dir Gr

Submit
NAV Date NAV (Rs)
25-09-2026 10.3612
24-09-2026 10.3528
23-09-2026 10.4959
22-09-2026 10.4513
21-09-2026 10.4634
18-09-2026 10.463
17-09-2026 10.3921
16-09-2026 10.3002
15-09-2026 10.2759
11-09-2026 10.4135
10-09-2026 10.4285
09-09-2026 10.4233
08-09-2026 10.4862
07-09-2026 10.5188
04-09-2026 10.5555
03-09-2026 10.5252
02-09-2026 10.5142
01-09-2026 10.5736
31-08-2026 10.6236
28-08-2026 10.6732
27-08-2026 10.6837
26-08-2026 10.7356
25-08-2026 10.7493
24-08-2026 10.7393
21-08-2026 10.74
20-08-2026 10.7044
19-08-2026 10.6549
18-08-2026 10.6876
17-08-2026 10.7184
14-08-2026 10.7161
13-08-2026 10.7502
12-08-2026 10.7563
11-08-2026 10.7634
10-08-2026 10.7668
07-08-2026 10.7618
06-08-2026 10.8196
05-08-2026 10.8324
04-08-2026 10.7866
03-08-2026 10.8191
31-07-2026 10.6814
30-07-2026 10.6931
29-07-2026 10.7001
28-07-2026 10.5902
27-07-2026 10.6198
24-07-2026 10.4989
23-07-2026 10.4974
22-07-2026 10.5745
21-07-2026 10.6817
20-07-2026 10.716
17-07-2026 10.7617
16-07-2026 10.7332
15-07-2026 10.7139
14-07-2026 10.674
13-07-2026 10.752
10-07-2026 10.6483
09-07-2026 10.5089
08-07-2026 10.4089
07-07-2026 10.5714
06-07-2026 10.5848
03-07-2026 10.545
02-07-2026 10.549
01-07-2026 10.4512
30-06-2026 10.4136
29-06-2026 10.4218
25-06-2026 10.4465
24-06-2026 10.4932
23-06-2026 10.3867
22-06-2026 10.4541
19-06-2026 10.3806
18-06-2026 10.4229
17-06-2026 10.3526
16-06-2026 10.2589
15-06-2026 10.1752
12-06-2026 9.9818
11-06-2026 9.7604
10-06-2026 9.8005
09-06-2026 9.8423
08-06-2026 9.7496
05-06-2026 9.8677
04-06-2026 9.8662
03-06-2026 9.8303
02-06-2026 9.8508
01-06-2026 9.8192
29-05-2026 9.9127
27-05-2026 10.0347
26-05-2026 10.011
25-05-2026 10.0245
22-05-2026 9.9373
21-05-2026 9.8831
20-05-2026 9.8648
19-05-2026 9.8979
18-05-2026 9.8457
15-05-2026 9.8881
14-05-2026 9.8668
13-05-2026 9.8336
12-05-2026 9.8228
11-05-2026 10.001

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