The latest published NAV and daily NAV history since 2006 for every AMFI-listed mutual fund in India — search by scheme name, code, ISIN, or date, and see the exact API call behind every result.
Terms of use
mfnav.in republishes daily NAV (Net Asset Value) data for mutual fund schemes as published by AMFI (Association of Mutual Funds in India), from January 2006 onward. We are an independent, unofficial aggregator — not affiliated with AMFI, SEBI, or any Asset Management Company.
License
The data made available through this site and its API is free to use, for any purpose — personal, research, or commercial — with no login or attribution required. Anonymous API use is rate-limited to 60 requests per minute per IP; there is no limit on the amount of data itself, no limit with an API key (key requests coming soon).
No warranty
Data is provided "as is" for informational purposes only and does not constitute investment advice. We regularly re-check stored data against AMFI and correct discrepancies, but we make no guarantee of accuracy or completeness. Verify figures with AMFI or the relevant AMC before acting on them.
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