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

Scheme Details

78.88420.74(0.95)
(Rs)       (%)
NAV as on 25 Apr 17
Fund Family :SBI Mutual Fund
Fund Class:Equity - Index
Performance
1 Week :-2.19%
1 Month:2.46%
1 Year:17.01%
Add To:  Portfolio  |  Trade Online
change scheme
Date NAV
  (Rs)
25 Apr 17 78.8842
24 Apr 17 78.1415
21 Apr 17 77.3107
20 Apr 17 77.4624
19 Apr 17 77.1876
18 Apr 17 77.1974
17 Apr 17 77.4688
13 Apr 17 77.5938
12 Apr 17 78.0372
11 Apr 17 78.3256
10 Apr 17 77.8584
07 Apr 17 77.9976
06 Apr 17 78.5360
05 Apr 17 78.5674
03 Apr 17 78.3540
31 Mar 17 77.8181
30 Mar 17 77.8054
29 Mar 17 77.5624
28 Mar 17 77.2027
27 Mar 17 76.7363
1|2|3|4|5|6|7|8|9|10|11|Next

Poll

Are banks justified in charging customers for cash transactions in their own accounts?



Online Portfolio

You can create Online Portfolio here using the below button.

Widgets Magazine