BSE Prices delayed by 5 minutes ! Prices as on   Aug 22, 2025   

MARKETS

Mutual Fund

NAV HISTORY

GO

Nippon India Banking and PSU Fund

Fund : Nippon India Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(22/08/2025) 20.9213
Percentage Returns :
1 Month Ago : -0.13%
3 Months Ago : 0.41%
1 Year Ago : 8.08%
 From Date
To Date
GO

NAV DateRepurcahse ()Sale ()Amount ()
22/08/202520.9220.9220.92
21/08/202520.9220.9220.92
20/08/202520.9220.9220.92
19/08/202520.9120.9120.91
18/08/202520.9220.9220.92
14/08/202520.9320.9320.93
13/08/202520.9120.9120.91
12/08/202520.9220.9220.92
11/08/202520.9520.9520.95
08/08/202520.9720.9720.97