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View all the NAV values offered by any fund house for any scheme across the years.
9 wrz 2011 · Invest in Mutual Funds through Reliance Money. Get daily NAV (net asset values ) updates, asset allocation tips & investment tips with the best fund managers for Reliance Money. Also stay updated with Mutual Fund news, Mutual Fund performance, stock market updates in India & many more.
Net asset value(NAV) is the value of an entity's assets minus the value of its liabilities. Check out the Nav value, nav history or latest navs of all the funds at Nippon India Mutual Fund!
Check mutual fund NAV historical. Track past performance & compare funds for informed investment decisions with accurate data on net asset values.
Depending on your mutual fund investment horizon, you can look at the returns the fund has generated historically and also compare it to the category benchmark performance. The table below gives you a break up of asset classes, sectors and stocks that Reliance Growth Fund - (G) invests in.
MF NAV History: View all mutual funds nav historical data for all fund houses in India. Track online historical returns of direct mutual fund schemes NAV at ease.
In October 2019, Reliance's stake was bought by Nippon, and the fund house was renamed as Nippon India Mutual Fund. Nippon Mutual Funds manage assets worth Rs. 431308 crores. Currently, the range of Nippon mutual funds schemes includes 52 equity, 266 debt, and 40 balanced funds.