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

Scheme Details

14.24150.06(0.44)
(Rs)       (%)
NAV as on 06 Jul 15
Fund Family :Reliance Mutual Fund
Fund Class:Equity - Index
Performance
1 Week :2.45%
1 Month:5.07%
1 Year:10.37%
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Date NAV
  (Rs)
06 Jul 15 14.2415
03 Jul 15 14.1794
02 Jul 15 14.1157
01 Jul 15 14.1230
30 Jun 15 13.9826
29 Jun 15 13.9005
26 Jun 15 14.0053
25 Jun 15 14.0338
24 Jun 15 13.9723
23 Jun 15 14.0061
22 Jun 15 13.9592
19 Jun 15 13.7468
18 Jun 15 13.6609
17 Jun 15 13.5265
16 Jun 15 13.4535
15 Jun 15 13.3972
12 Jun 15 13.3333
11 Jun 15 13.3046
10 Jun 15 13.5690
09 Jun 15 13.3995
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