BOI MF Multi Cap Fund 728x90

Historical Mutual Fund NAV of quant Consumption Fund Reg IDCW

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NAV Date NAV (Rs)
30-04-2024 10.444
29-04-2024 10.4924
26-04-2024 10.4806
25-04-2024 10.4631
24-04-2024 10.4569
23-04-2024 10.4545
22-04-2024 10.3797
19-04-2024 10.2966
18-04-2024 10.3366
16-04-2024 10.3894
15-04-2024 10.3499
12-04-2024 10.4841
10-04-2024 10.581
09-04-2024 10.5506
08-04-2024 10.6233
05-04-2024 10.6078
04-04-2024 10.5403
03-04-2024 10.5657
02-04-2024 10.5837
01-04-2024 10.5745
31-03-2024 10.4479
28-03-2024 10.4487
27-03-2024 10.3959
26-03-2024 10.3894
22-03-2024 10.4997
21-03-2024 10.3698
20-03-2024 10.1569
19-03-2024 10.0459
18-03-2024 10.1829
15-03-2024 10.1745
14-03-2024 10.0779
13-03-2024 9.8446
12-03-2024 10.2341
11-03-2024 10.4887
07-03-2024 10.6668
06-03-2024 10.6677
05-03-2024 10.6989
04-03-2024 10.7596
01-03-2024 10.9056
29-02-2024 10.653
28-02-2024 10.4333
27-02-2024 10.4829
26-02-2024 10.4194
23-02-2024 10.5616
22-02-2024 10.5736
21-02-2024 10.5034
20-02-2024 10.4676
19-02-2024 10.3985
16-02-2024 10.36
15-02-2024 10.4082
14-02-2024 10.4436
13-02-2024 10.357
12-02-2024 10.3537
09-02-2024 10.1994
08-02-2024 10.188
07-02-2024 10.1718
06-02-2024 10.1225
05-02-2024 10.1303
02-02-2024 10.1127
01-02-2024 10.0593
31-01-2024 10.0594
30-01-2024 9.9919
29-01-2024 10.0432
25-01-2024 9.998

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