Historical Mutual Fund NAV of Baroda BNP Paribas Flexi Cap Fund Reg IDCW

NAV Date NAV (Rs)
09-09-2022 10.0736
08-09-2022 10.0589
07-09-2022 10.01
06-09-2022 10.0098
05-09-2022 10.0004
02-09-2022 9.9629
01-09-2022 9.964
30-08-2022 10.0206
29-08-2022 9.8626
26-08-2022 9.9327
25-08-2022 9.928
24-08-2022 9.9587
23-08-2022 9.939
22-08-2022 9.9025

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