» Nav History

Nav History

Kotak Equity Arbitrage Fund - Direct (G) - Scheme Profile

Fund

Fund House : Kotak Mahindra Mutual Fund

Fund Class : Arbitrage Funds

NAV 24 Apr 29.16 0.00
(0.00%)
Date Nav(Rs)
24-04-2020 29.16
23-04-2020 29.16
22-04-2020 29.12
21-04-2020 29.14
20-04-2020 29.12
17-04-2020 29.05
16-04-2020 29.04
15-04-2020 29.10
13-04-2020 29.05
09-04-2020 29.09
08-04-2020 29.07
07-04-2020 29.00
03-04-2020 29.07
01-04-2020 29.07
31-03-2020 29.07
30-03-2020 29.04
27-03-2020 29.00
26-03-2020 28.92
25-03-2020 28.89
24-03-2020 28.91