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

Scheme Details

13.55000.01(0.08)
(Rs)       (%)
NAV as on 19 Sep 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)
19 Sep 14 13.5500
18 Sep 14 13.5397
17 Sep 14 13.3093
16 Sep 14 13.2387
15 Sep 14 13.4199
12 Sep 14 13.5259
11 Sep 14 13.4936
10 Sep 14 13.5072
09 Sep 14 13.6056
08 Sep 14 13.6408
05 Sep 14 13.4957
04 Sep 14 13.5090
03 Sep 14 13.5383
02 Sep 14 13.4864
01 Sep 14 13.3948
28 Aug 14 13.2741
27 Aug 14 13.2437
26 Aug 14 13.1896
25 Aug 14 13.1923
22 Aug 14 13.2057
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