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NAV HISTORY

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JM Dynamic Bond Fund


Fund : JM Financial Mutual Fund
Category : Debt - Floaters
Type : Open Ended
NAV(15/09/2025) 10.0024
Percentage Returns :
1 Month Ago : 0.01%
3 Months Ago : -0.41%
1 Year Ago : -2.29%
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NAV DateRepurcahse ()Sale ()Amount ()
15/09/202510.0010.0010.00
12/09/202510.0010.0010.00
11/09/202510.0110.0110.01
10/09/202510.0010.0010.00
09/09/202510.0010.0010.00
05/09/20259.999.999.99
04/09/20259.989.989.98
03/09/20259.979.979.97
02/09/20259.979.979.97
01/09/20259.979.979.97
29/08/20259.979.979.97
28/08/20259.989.989.98
26/08/20259.959.959.95
25/08/20259.969.969.96
22/08/20259.979.979.97
21/08/20259.989.989.98
20/08/20259.989.989.98
19/08/20259.979.979.97
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