Close [X]
Mutual Funds »Schemes»NAV (Daily/historical)
SBI Nifty Index Fund (G) - NAV (Daily/historical)

Scheme Details

68.6058-0.90(-1.29)
(Rs)       (%)
NAV as on 02 Dec 16
Fund Family :SBI Mutual Fund
Fund Class:Equity - Index
Performance
1 Week :-1.34%
1 Month:-6.06%
1 Year:2.33%
Add To:  Portfolio  |  Trade Online
change scheme
Date NAV
  (Rs)
02 Dec 16 68.6058
01 Dec 16 69.5048
30 Nov 16 69.7776
28 Nov 16 68.9516
25 Nov 16 68.8462
24 Nov 16 67.5953
23 Nov 16 68.1680
22 Nov 16 67.9102
21 Nov 16 67.2932
18 Nov 16 68.5223
17 Nov 16 68.5746
16 Nov 16 68.8434
15 Nov 16 68.8245
11 Nov 16 70.4213
10 Nov 16 72.3663
09 Nov 16 71.5818
08 Nov 16 72.5260
07 Nov 16 72.1337
04 Nov 16 71.6017
03 Nov 16 72.0390
1|2|3|4|5|6|7|8|9|10|11|Next

Upcoming Dividends

07 Dec 16 Invesco India Arbitrage Fund - Direct (D)0.21
07 Dec 16 UTI-Spread Fund - Direct (D)0.07

Poll

Will the Nifty reclaim 8,500 levels by the year-end?


Online Portfolio

You can create Online Portfolio here using the below button.

Widgets Magazine