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

Scheme Details

804.22351.36(0.17)
(Rs)       (%)
NAV as on 28 Aug 15
Fund Family :Reliance Mutual Fund
Fund Class:Equity - Diversified
Performance
1 Week :-5.45%
1 Month:-4.68%
1 Year:20.35%
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Date NAV
  (Rs)
28 Aug 15 804.2235
27 Aug 15 802.8624
26 Aug 15 784.3876
25 Aug 15 788.4836
24 Aug 15 780.5928
21 Aug 15 841.7376
20 Aug 15 847.9322
19 Aug 15 863.7656
18 Aug 15 859.8847
17 Aug 15 855.8155
14 Aug 15 852.5921
13 Aug 15 838.1011
12 Aug 15 838.8278
11 Aug 15 855.4441
10 Aug 15 861.2238
07 Aug 15 862.7723
06 Aug 15 867.4507
05 Aug 15 868.0161
04 Aug 15 865.2136
03 Aug 15 861.6194
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Upcoming Dividends

03 Sep 15 Tata Balanced Fund - Regular (Div-M)0.46
03 Sep 15 Tata Balanced Fund - Direct (Div-M)0.46

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