Historical Mutual Fund NAV of DSP Nifty Midcap 150 Quality 50 Index Fund Reg IDCW

NAV Date NAV (Rs)
09-09-2022 10.3404
08-09-2022 10.2883
07-09-2022 10.2514
06-09-2022 10.2048
05-09-2022 10.1979
02-09-2022 10.1628
01-09-2022 10.2
30-08-2022 10.1804
29-08-2022 10.0696
26-08-2022 10.1776
25-08-2022 10.1943
24-08-2022 10.2156
23-08-2022 10.1665
22-08-2022 10.0989
19-08-2022 10.2457
18-08-2022 10.3573
17-08-2022 10.358
16-08-2022 10.2818
12-08-2022 10.164
11-08-2022 10.1203
10-08-2022 10.0588
08-08-2022 10.0661
05-08-2022 10.0215
04-08-2022 10.0257

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