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NAV HISTORY

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Mirae Asset Nifty IT ETF


Fund : Mirae Asset Mutual Fund
Category : Equity - Index Fund
Type : Open Ended
NAV(29/08/2025) 36.5443
Percentage Returns :
1 Month Ago : -0.53%
3 Months Ago : -5.99%
1 Year Ago : -15.66%
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NAV DateRepurcahse ()Sale ()Amount ()
29/08/202536.5436.5436.54
28/08/202536.8636.8636.86
26/08/202537.4637.4637.46
25/08/202537.6937.6937.69
22/08/202536.8136.8136.81
21/08/202537.1137.1137.11
20/08/202537.0737.0737.07
19/08/202536.1036.1036.10
18/08/202535.9835.9835.98
14/08/202536.1836.1836.18
13/08/202536.0436.0436.04
12/08/202536.0236.0236.02
11/08/202535.8835.8835.88
08/08/202535.7335.7335.73
07/08/202536.0736.0736.07
06/08/202535.7635.7635.76
05/08/202536.3936.3936.39
04/08/202536.5736.5736.57
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