Sr. No. | Scheme Name | NAV Date | NAV ( ₹ ) |
---|---|---|---|
2041 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 10:00:00 | 5111.3 |
2042 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 10:30:00 | 5109.62 |
2043 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 11:00:00 | 5109.18 |
2044 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 11:30:00 | 5112.61 |
2045 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 12:00:00 | 5112.39 |
2046 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 12:30:00 | 5111.08 |
2047 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 13:00:00 | 5111.96 |
2048 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 13:30:00 | 5113.35 |
2049 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 14:00:00 | 5115.38 |
2050 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 14:30:00 | 506.56 |