Historical Mutual Fund NAV of Canara Robeco Banking and PSU Debt Fund Reg Gr

NAV Date NAV (Rs)
09-09-2022 10.0411
08-09-2022 10.0399
07-09-2022 10.0324
06-09-2022 10.0363
05-09-2022 10.0338
02-09-2022 10.0265
01-09-2022 10.0281
30-08-2022 10.0242
29-08-2022 10.0226
26-08-2022 10.0216
25-08-2022 10.0132
24-08-2022 10.0127

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