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Nav History

HDFC Top 200 Fund (G) - Scheme Profile

Fund

Fund House : HDFC Mutual Fund

Fund Class : Equity - Diversified

NAV 21 Sep 369.74 -0.34
(-0.09%)
Date Nav(Rs)
21-09-2016 369.74
20-09-2016 370.08
19-09-2016 371.13
16-09-2016 369.41
15-09-2016 368.58
14-09-2016 369.18
12-09-2016 365.54
09-09-2016 374.76
08-09-2016 378.48
07-09-2016 377.14
06-09-2016 375.56
02-09-2016 368.84
01-09-2016 366.82
31-08-2016 368.41
30-08-2016 366.87
29-08-2016 361.82
26-08-2016 359.92
25-08-2016 361.25
24-08-2016 363.75
23-08-2016 362.24