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Nippon India Multi Cap Fund - Direct Plan - Bonus (0P0000XVDD)

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296.630 +1.210    +0.41%
07:00:00 - Closed. Currency in INR
  • Morningstar Rating:
  • Total Assets: 393.85B
Type:  Fund
Market:  India
Issuer:  Reliance Nippon Life Asset Management Ltd
ISIN:  INF204K01D55 
Asset Class:  Other
Reliance Equity Opportunities Fund - Direct Plan - 296.630 +1.210 +0.41%

0P0000XVDD Historical Data

 
Get free historical data for 0P0000XVDD fund. You'll find the end of day price of the Nippon India Multi Cap Fund - Direct Plan - Bonus fund for the selected range of dates. The data can be viewed in daily, weekly or monthly time intervals. At the bottom of the table you'll find the data summary for the selected range of dates.
Time Frame:
12/23/2024 - 01/23/2025
 
Date Price Open High Low Change %
Jan 23, 2025 296.630 296.630 296.630 296.630 0.41%
Jan 22, 2025 295.421 295.421 295.421 295.421 -0.69%
Jan 21, 2025 297.486 297.486 297.486 297.486 -1.82%
Jan 20, 2025 302.990 302.990 302.990 302.990 0.40%
Jan 17, 2025 301.797 301.797 301.797 301.797 -0.41%
Jan 16, 2025 303.039 303.039 303.039 303.039 0.82%
Jan 15, 2025 300.570 300.570 300.570 300.570 0.30%
Jan 14, 2025 299.684 299.684 299.684 299.684 -1.66%
Jan 10, 2025 304.733 304.733 304.733 304.733 -1.48%
Jan 09, 2025 309.318 309.318 309.318 309.318 -0.98%
Jan 08, 2025 312.384 312.384 312.384 312.384 -0.79%
Jan 07, 2025 314.859 314.859 314.859 314.859 0.52%
Jan 06, 2025 313.228 313.228 313.228 313.228 -1.96%
Jan 03, 2025 319.503 319.503 319.503 319.503 -0.38%
Jan 02, 2025 320.728 320.728 320.728 320.728 1.15%
Jan 01, 2025 317.087 317.087 317.087 317.087 0.46%
Dec 31, 2024 315.640 315.640 315.640 315.640 0.25%
Dec 30, 2024 314.862 314.862 314.862 314.862 -0.37%
Dec 27, 2024 316.016 316.016 316.016 316.016 -0.03%
Dec 26, 2024 316.113 316.113 316.113 316.113 -0.00%
Dec 24, 2024 316.117 316.117 316.117 316.117 0.22%
Dec 23, 2024 315.411 315.411 315.411 315.411 -0.08%
Highest: 320.728 Lowest: 295.421 Difference: 25.307 Average: 309.255 Change %: -6.027
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