Mirae Asset Banking and PSU Fund
Fund :
|
Mirae Asset Mutual Fund
|
Category :
|
Debt - Income
|
Type :
|
Open Ended
|
NAV(01/07/2025)
|
13.0101
|
Percentage Returns :
|
1 Month Ago :
|
-0.07%
|
3 Months Ago :
|
2.49%
|
1 Year Ago :
|
8.92%
|
NAV Date | Repurcahse (₹) | Sale (₹) | Amount (₹) |
01/07/2025 | 13.01 | 13.01 | 13.01 |
30/06/2025 | 13.00 | 13.00 | 13.00 |
27/06/2025 | 12.99 | 12.99 | 12.99 |
26/06/2025 | 12.99 | 12.99 | 12.99 |
25/06/2025 | 12.99 | 12.99 | 12.99 |
24/06/2025 | 13.00 | 13.00 | 13.00 |
23/06/2025 | 12.98 | 12.98 | 12.98 |
20/06/2025 | 12.98 | 12.98 | 12.98 |
19/06/2025 | 12.99 | 12.99 | 12.99 |
18/06/2025 | 13.00 | 13.00 | 13.00 |
17/06/2025 | 13.00 | 13.00 | 13.00 |
16/06/2025 | 12.98 | 12.98 | 12.98 |
13/06/2025 | 12.97 | 12.97 | 12.97 |
12/06/2025 | 12.99 | 12.99 | 12.99 |
11/06/2025 | 13.00 | 13.00 | 13.00 |
10/06/2025 | 13.01 | 13.01 | 13.01 |
09/06/2025 | 13.05 | 13.05 | 13.05 |
06/06/2025 | 13.06 | 13.06 | 13.06 |
|