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NAV HISTORY

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Motilal Oswal Multi Asset Fund


Fund : Motilal Oswal Mutual Fund
Category : Debt - Hybrid
Type : Open Ended
NAV(30/04/2025) 11.6133
Percentage Returns :
1 Month Ago : 1.04%
3 Months Ago : -1.09%
1 Year Ago : -9.38%
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NAV DateRepurcahse ()Sale ()Amount ()
30/04/202511.6111.6111.61
29/04/202511.6911.6911.69
28/04/202511.6611.6611.66
25/04/202511.6511.6511.65
24/04/202511.7511.7511.75
23/04/202511.7911.7911.79
22/04/202511.8011.8011.80
21/04/202511.7111.7111.71
17/04/202511.5811.5811.58
16/04/202511.5511.5511.55
15/04/202511.4811.4811.48
11/04/202511.3511.3511.35
09/04/202511.2011.2011.20
08/04/202511.2011.2011.20
07/04/202511.1611.1611.16
04/04/202511.3311.3311.33
03/04/202511.4711.4711.47
02/04/202511.5211.5211.52
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