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NAV HISTORY

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Mirae Asset Banking and PSU Fund


Fund : Mirae Asset Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(21/08/2026) 13.6348
Percentage Returns :
1 Month Ago : 0.26%
3 Months Ago : 2.44%
1 Year Ago : 4.46%
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NAV DateRepurcahse ()Sale ()Amount ()
21/08/202613.6313.6313.63
20/08/202613.6513.6513.65
19/08/202613.6713.6713.67
18/08/202613.6713.6713.67
17/08/202613.6713.6713.67
14/08/202613.6813.6813.68
13/08/202613.6813.6813.68
12/08/202613.6713.6713.67
11/08/202613.6713.6713.67
10/08/202613.6713.6713.67
07/08/202613.6613.6613.66
06/08/202613.6513.6513.65
05/08/202613.6413.6413.64
04/08/202613.6313.6313.63
03/08/202613.6313.6313.63
31/07/202613.6213.6213.62
30/07/202613.6113.6113.61
29/07/202613.6213.6213.62
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