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Mirae Asset Savings Fund-Regular Super Savings Plan- Weekly Dividend

Mirae Asset Mutual Fund
₹948.0220
-0.20%
Scheme Code
107709
NAV Date
2008-10-16
Category
Sub-Category
Plan
Regular
Option
IDCW
ISIN
ISIN (Reinvest)
INF769K01AI3
Last 30 days
2008-10-16
₹948.0220
-0.20%
2008-10-15
₹949.9150
-0.49%
2008-10-14
₹954.5999
-2.94%
2008-10-13
₹983.5331
-0.64%
2008-10-10
₹989.9136
-0.78%
2008-10-08
₹997.6615
-0.41%
2008-10-07
₹1001.7233
+0.03%
2008-10-06
₹1001.4490
+0.07%
2008-10-03
₹1000.7499
-0.14%
2008-10-01
₹1002.1173
2008-09-30
₹0.0000
-100.00%
2008-09-29
₹1001.5827
+0.09%
2008-09-26
₹1000.7159
+0.03%
2008-09-25
₹1000.4527
-0.15%
2008-09-24
₹1001.9629
+0.03%
2008-09-23
₹1001.7098
+0.03%
2008-09-22
₹1001.4501
+0.08%
2008-09-19
₹1000.6941
+0.03%
2008-09-18
₹1000.4425
-0.15%
2008-09-17
₹1001.9170
+0.03%
2008-09-16
₹1001.6666
+0.03%
2008-09-15
₹1001.4139
+0.07%
2008-09-12
₹1000.6673
+0.02%
2008-09-11
₹1000.4198
-0.13%
2008-09-10
₹1001.7054
+0.03%
2008-09-09
₹1001.4546
+0.02%
2008-09-08
₹1001.2110
+0.07%
2008-09-05
₹1000.4658
-0.17%
2008-09-04
₹1002.1914
+0.05%
2008-09-02
₹1001.6990
+0.02%