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Reliance Index Fund - Nifty (G) - NAV (Daily/historical)

Scheme Details

13.9428-0.04(-0.29)
(Rs)       (%)
NAV as on 28 Jul 15
Fund Family :Reliance Mutual Fund
Fund Class:Equity - Index
Performance
1 Week :-3.32%
1 Month:-1.44%
1 Year:7.88%
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Date NAV
  (Rs)
28 Jul 15 13.9428
27 Jul 15 13.9831
24 Jul 15 14.2513
23 Jul 15 14.3652
22 Jul 15 14.4340
21 Jul 15 14.2751
20 Jul 15 14.3984
17 Jul 15 14.4060
16 Jul 15 14.4032
15 Jul 15 14.2606
14 Jul 15 14.1352
13 Jul 15 14.1438
10 Jul 15 13.9802
09 Jul 15 13.9265
08 Jul 15 13.9768
07 Jul 15 14.2222
06 Jul 15 14.2415
03 Jul 15 14.1794
02 Jul 15 14.1157
01 Jul 15 14.1230
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