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Mutual Fund

NAV HISTORY

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Mirae Asset Banking and PSU Fund

Fund : Mirae Asset Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(05/05/2025) 12.9051
Percentage Returns :
1 Month Ago : 1.11%
3 Months Ago : 3.03%
1 Year Ago : 9.4%
 From Date
To Date
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NAV DateRepurcahse ()Sale ()Amount ()
05/05/202512.9112.9112.91
02/05/202512.8912.8912.89
30/04/202512.8812.8812.88
29/04/202512.8912.8912.89
28/04/202512.8812.8812.88
25/04/202512.8812.8812.88
24/04/202512.8912.8912.89
23/04/202512.8912.8912.89
22/04/202512.8812.8812.88
21/04/202512.8712.8712.87