Sr. No. | Scheme Name | NAV Date | NAV ( ₹ ) |
---|---|---|---|
2051 | IDBI MF Gold Exchange Traded Fund | 2023-01-02 15:00:00 | 5120.65 |
2052 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 10:00:39 | 5168.21 |
2053 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 10:30:41 | 5166.36 |
2054 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 11:00:41 | 5164.71 |
2055 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 11:30:41 | 5169.49 |
2056 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 12:00:41 | 5169.2 |
2057 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 12:30:41 | 5171.41 |
2058 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 13:00:41 | 5185.76 |
2059 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 13:30:41 | 5190.91 |
2060 | IDBI MF Gold Exchange Traded Fund | 2023-01-03 14:00:41 | 5171 |