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NAV HISTORY

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ITI Banking & PSU Debt Fund


Fund : ITI Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(30/07/2026) 13.7205
Percentage Returns :
1 Month Ago : 0.24%
3 Months Ago : 1.47%
1 Year Ago : 4.63%
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NAV DateRepurcahse ()Sale ()Amount ()
30/07/202613.7213.7213.72
29/07/202613.7213.7213.72
28/07/202613.7313.7313.73
27/07/202613.7213.7213.72
24/07/202613.7013.7013.70
23/07/202613.7013.7013.70
22/07/202613.7013.7013.70
21/07/202613.7013.7013.70
20/07/202613.7013.7013.70
17/07/202613.7013.7013.70
16/07/202613.7013.7013.70
15/07/202613.6913.6913.69
14/07/202613.6813.6813.68
13/07/202613.7013.7013.70
10/07/202613.7013.7013.70
09/07/202613.6913.6913.69
08/07/202613.6813.6813.68
07/07/202613.7113.7113.71
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