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SBI Nifty Index Fund (G) - NAV (Daily/historical)

Scheme Details

73.8988-0.14(-0.19)
(Rs)       (%)
NAV as on 27 Sep 16
Fund Family :SBI Mutual Fund
Fund Class:Equity - Index
Performance
1 Week :-1.67%
1 Month:1.76%
1 Year:11.24%
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Date NAV
  (Rs)
27 Sep 16 73.8988
26 Sep 16 74.0421
22 Sep 16 75.2745
21 Sep 16 74.5158
20 Sep 16 74.5068
19 Sep 16 74.7831
16 Sep 16 74.5461
15 Sep 16 74.2318
14 Sep 16 74.0920
09 Sep 16 75.2831
08 Sep 16 76.0101
07 Sep 16 75.6972
06 Sep 16 75.8994
02 Sep 16 74.7755
01 Sep 16 74.4815
31 Aug 16 74.5846
30 Aug 16 74.2089
29 Aug 16 73.0492
26 Aug 16 72.7606
25 Aug 16 72.9287
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