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NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
Nippon India Small Cap Fund - Direct Plan
Fund :
Nippon India Mutual Fund
Category :
Equity - Diversified
Type :
Open Ended
NAV(
13/10/2025
)
188.9801
Percentage Returns :
1 Month Ago :
-0.99%
3 Months Ago :
-2.47%
1 Year Ago :
-6.22%
Choose Option :
Bonus
Growth
IDCW
IDCW-Reinvestment
2025
2024
2023
2022
2021
2025
Open :
196.25
Close :
188.98
Return(%) :
-3.70
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
196.2490
176.9048
-9.85
February
174.5957
155.8372
-10.74
March
154.9158
167.5258
8.13
April
167.1746
172.7456
3.33
May
172.5195
185.6339
7.60
June
186.5134
194.1643
4.10
July
194.0531
189.8816
-2.14
August
187.6752
184.3757
-1.75
September
187.1769
186.0526
-0.60
October
187.4886
188.9801
0.79
January
196.2490
176.9048
-9.85
February
174.5957
155.8372
-10.74
March
154.9158
167.5258
8.13
April
167.1746
172.7456
3.33
May
172.5195
185.6339
7.60
June
186.5134
194.1643
4.10
July
194.0531
189.8816
-2.14
August
187.6752
184.3757
-1.75
September
187.1769
186.0526
-0.60
October
187.4886
188.9801
0.79
January
196.2490
176.9048
-9.85
February
174.5957
155.8372
-10.74
March
154.9158
167.5258
8.13
April
167.1746
172.7456
3.33
May
172.5195
185.6339
7.60
June
186.5134
194.1643
4.10
July
194.0531
189.8816
-2.14
August
187.6752
184.3757
-1.75
September
187.1769
186.0526
-0.60
October
187.4886
188.9801
0.79
January
196.2490
176.9048
-9.85
February
174.5957
155.8372
-10.74
March
154.9158
167.5258
8.13
April
167.1746
172.7456
3.33
May
172.5195
185.6339
7.60
June
186.5134
194.1643
4.10
July
194.0531
189.8816
-2.14
August
187.6752
184.3757
-1.75
September
187.1769
186.0526
-0.60
October
187.4886
188.9801
0.79
January
196.2490
176.9048
-9.85
February
174.5957
155.8372
-10.74
March
154.9158
167.5258
8.13
April
167.1746
172.7456
3.33
May
172.5195
185.6339
7.60
June
186.5134
194.1643
4.10
July
194.0531
189.8816
-2.14
August
187.6752
184.3757
-1.75
September
187.1769
186.0526
-0.60
October
187.4886
188.9801
0.79