Mutual Funds »Schemes»NAV (Daily/historical)
Reliance Index Fund - Nifty (G) - NAV (Daily/historical)

Scheme Details

13.33920.11(0.85)
(Rs)       (%)
NAV as on 22 Oct 14
Fund Family :Reliance Mutual Fund
Fund Class:Equity - Index
Performance
1 Week :0.00%
1 Month:0.00%
1 Year:0.00%
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Date NAV
  (Rs)
29 Oct 14 13.4940
28 Oct 14 13.3895
27 Oct 14 13.3306
22 Oct 14 13.3392
21 Oct 14 13.2263
20 Oct 14 13.1456
17 Oct 14 12.9810
16 Oct 14 12.9291
14 Oct 14 13.1147
13 Oct 14 13.1487
10 Oct 14 13.1093
09 Oct 14 13.2769
08 Oct 14 13.0815
07 Oct 14 13.0980
01 Oct 14 13.2549
30 Sep 14 13.2871
29 Sep 14 13.2776
26 Sep 14 13.2952
25 Sep 14 13.2005
24 Sep 14 13.3516
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