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Reliance Index Fund-Nifty Plan-Dividend Option

Nippon India Mutual Fund
₹19.5219
+1.29%
Scheme Code
102910
NAV Date
2008-04-17
Category
Sub-Category
Plan
Unknown
Option
IDCW
ISIN
ISIN (Reinvest)
Last 30 days
2008-04-17
₹19.5219
+1.29%
2008-04-16
₹19.2736
+0.12%
2008-04-15
₹19.2497
+1.94%
2008-04-11
₹18.8825
+0.88%
2008-04-10
₹18.7174
-0.26%
2008-04-09
₹18.7661
+0.71%
2008-04-08
₹18.6338
-0.95%
2008-04-07
₹18.8119
+2.06%
2008-04-04
₹18.4328
-2.13%
2008-04-03
₹18.8344
+0.29%
2008-04-02
₹18.7801
+0.22%
2008-04-01
₹18.7397
+0.07%
2008-03-31
₹18.7260
-3.39%
2008-03-28
₹19.3825
+1.93%
2008-03-27
₹19.0148
-0.06%
2008-03-26
₹19.0270
-0.95%
2008-03-25
₹19.2098
+5.38%
2008-03-24
₹18.2288
+0.67%
2008-03-19
₹18.1068
+0.81%
2008-03-18
₹17.9619
+0.55%
2008-03-17
₹17.8643
-4.72%
2008-03-14
₹18.7498
+2.09%
2008-03-13
₹18.3653
-4.54%
2008-03-12
₹19.2394
+0.06%
2008-03-11
₹19.2272
+1.21%
2008-03-10
₹18.9978
+0.31%
2008-03-07
₹18.9393
-2.99%
2008-03-05
₹19.5236
+0.98%
2008-03-04
₹19.3336
-1.70%
2008-03-03
₹19.6682
-4.75%