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Navi 3 in 1 Fund-Growth

Navi Mutual Fund
₹23.6718
+0.32%

⚠ This scheme hasn't reported a new NAV since 2022-07-15 — it may be dormant, matured, merged, or delisted.

Navi 3 in 1 Fund-Growth is an AMFI-listed mutual fund scheme from Navi Mutual Fund, categorized as (Hybrid) Multi Asset Allocation (ISIN INF959L01015). As of 2022-07-15, its NAV is ₹23.6718 (+0.32% from the previous day). This scheme has not reported a new NAV in over 30 days and may be dormant, matured, merged, or delisted — treat the figures above as historical, not a live quote. Full daily NAV history since 2011-04-07 is available below, along with a free JSON API.

Source: AMFI

Fund details
Scheme Code
114855
Category
(Hybrid) Multi Asset Allocation
Plan
Unknown
Option
Growth
ISIN
INF959L01015
ISIN (Reinvest)
Launch Date
NFO Closed
Fund Structure
NAV Chart

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Last 50 days
Scheme Date NAV Chg
Navi 3 in 1 Fund-Growth 2022-07-15 ₹23.6718 +0.32%
Navi 3 in 1 Fund-Growth 2022-07-14 ₹23.5956 -0.31%
Navi 3 in 1 Fund-Growth 2022-07-13 ₹23.6689 -0.31%
Navi 3 in 1 Fund-Growth 2022-07-12 ₹23.7430 -0.61%
Navi 3 in 1 Fund-Growth 2022-07-11 ₹23.8898 +0.16%
Navi 3 in 1 Fund-Growth 2022-07-08 ₹23.8506 +0.45%
Navi 3 in 1 Fund-Growth 2022-07-07 ₹23.7443 +0.80%
Navi 3 in 1 Fund-Growth 2022-07-06 ₹23.5563 +0.46%
Navi 3 in 1 Fund-Growth 2022-07-05 ₹23.4480 +0.10%
Navi 3 in 1 Fund-Growth 2022-07-04 ₹23.4237 +0.45%
Navi 3 in 1 Fund-Growth 2022-07-01 ₹23.3194 +0.13%
Navi 3 in 1 Fund-Growth 2022-06-30 ₹23.2899 -0.16%
Navi 3 in 1 Fund-Growth 2022-06-29 ₹23.3261 -0.26%
Navi 3 in 1 Fund-Growth 2022-06-28 ₹23.3863 +0.13%
Navi 3 in 1 Fund-Growth 2022-06-27 ₹23.3562 +0.87%
Navi 3 in 1 Fund-Growth 2022-06-24 ₹23.1555 +0.73%
Navi 3 in 1 Fund-Growth 2022-06-23 ₹22.9874 +0.86%
Navi 3 in 1 Fund-Growth 2022-06-22 ₹22.7910 -1.08%
Navi 3 in 1 Fund-Growth 2022-06-21 ₹23.0398 +1.43%
Navi 3 in 1 Fund-Growth 2022-06-20 ₹22.7148 -0.45%
Navi 3 in 1 Fund-Growth 2022-06-17 ₹22.8166 -0.18%
Navi 3 in 1 Fund-Growth 2022-06-16 ₹22.8568 -1.73%
Navi 3 in 1 Fund-Growth 2022-06-15 ₹23.2585 +0.12%
Navi 3 in 1 Fund-Growth 2022-06-14 ₹23.2316 -0.36%
Navi 3 in 1 Fund-Growth 2022-06-13 ₹23.3162 -1.85%
Navi 3 in 1 Fund-Growth 2022-06-10 ₹23.7563 -1.13%
Navi 3 in 1 Fund-Growth 2022-06-09 ₹24.0279 +0.52%
Navi 3 in 1 Fund-Growth 2022-06-08 ₹23.9041 -0.41%
Navi 3 in 1 Fund-Growth 2022-06-07 ₹24.0018 -0.61%
Navi 3 in 1 Fund-Growth 2022-06-06 ₹24.1481 -0.20%
Navi 3 in 1 Fund-Growth 2022-06-03 ₹24.1962 -0.25%
Navi 3 in 1 Fund-Growth 2022-06-02 ₹24.2563 +0.66%
Navi 3 in 1 Fund-Growth 2022-06-01 ₹24.0975 -0.24%
Navi 3 in 1 Fund-Growth 2022-05-31 ₹24.1547 -0.22%
Navi 3 in 1 Fund-Growth 2022-05-30 ₹24.2087 +1.62%
Navi 3 in 1 Fund-Growth 2022-05-27 ₹23.8226 +0.88%
Navi 3 in 1 Fund-Growth 2022-05-26 ₹23.6143 +0.62%
Navi 3 in 1 Fund-Growth 2022-05-25 ₹23.4696 -0.54%
Navi 3 in 1 Fund-Growth 2022-05-24 ₹23.5974 -0.42%
Navi 3 in 1 Fund-Growth 2022-05-23 ₹23.6958 -0.32%
Navi 3 in 1 Fund-Growth 2022-05-20 ₹23.7720 +2.15%
Navi 3 in 1 Fund-Growth 2022-05-19 ₹23.2720 -1.98%
Navi 3 in 1 Fund-Growth 2022-05-18 ₹23.7431 -0.37%
Navi 3 in 1 Fund-Growth 2022-05-17 ₹23.8316 +2.16%
Navi 3 in 1 Fund-Growth 2022-05-16 ₹23.3266 +0.34%
Navi 3 in 1 Fund-Growth 2022-05-13 ₹23.2467 -0.20%
Navi 3 in 1 Fund-Growth 2022-05-12 ₹23.2933 -1.39%
Navi 3 in 1 Fund-Growth 2022-05-11 ₹23.6223 -0.40%
Navi 3 in 1 Fund-Growth 2022-05-10 ₹23.7170 -0.82%
Navi 3 in 1 Fund-Growth 2022-05-09 ₹23.9136 -0.84%