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NAV HISTORY

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Groww Short Duration Fund


Fund : Groww Mutual Fund
Category : Debt - Short Term
Type : Open Ended
NAV(17/04/2025) 1034.0641
Percentage Returns :
1 Month Ago : 1.08%
3 Months Ago : 1.02%
1 Year Ago : 1.15%
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NAV DateRepurcahse ()Sale ()Amount ()
17/04/20251,034.061,034.061,034.06
16/04/20251,032.771,032.771,032.77
15/04/20251,032.251,032.251,032.25
11/04/20251,031.181,031.181,031.18
09/04/20251,029.771,029.771,029.77
08/04/20251,028.641,028.641,028.64
07/04/20251,029.151,029.151,029.15
04/04/20251,028.691,028.691,028.69
03/04/20251,028.291,028.291,028.29
02/04/20251,027.191,027.191,027.19
31/03/20251,023.861,023.861,023.86
28/03/20251,023.401,023.401,023.40
27/03/20251,021.941,021.941,021.94
26/03/20251,020.011,020.011,020.01
25/03/20251,027.161,027.161,027.16
24/03/20251,026.721,026.721,026.72
21/03/20251,025.871,025.871,025.87
20/03/20251,025.471,025.471,025.47
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