Advertisement
Advertisement
U.S. markets closed
Advertisement
Advertisement
Advertisement
Advertisement

Nippon India Short Term Fund Direct Plan Quarterly Dividend Reinvestment Option (0P0001BB5K.BO)

BSE - BSE Delayed Price. Currency in INR
15.00+0.00 (+0.03%)
As of 01:30AM IST. Market open.
Advertisement
Advertisement
Time Period:
Dec 02, 2021 - Dec 02, 2022
Show:
Historical Prices
Frequency:
Daily
Currency in INRDownload
DateOpenHighLowClose*Adj Close**Volume
Dec 02, 2022------
Dec 01, 2022------
Nov 30, 202215.0015.0015.0015.0015.00-
Nov 29, 202215.0015.0015.0015.0015.00-
Nov 28, 202215.0015.0015.0015.0015.00-
Nov 25, 202214.9814.9814.9814.9814.98-
Nov 24, 202214.9814.9814.9814.9814.98-
Nov 23, 202214.9814.9814.9814.9814.98-
Nov 22, 202214.9814.9814.9814.9814.98-
Nov 21, 202214.9714.9714.9714.9714.97-
Nov 18, 202214.9614.9614.9614.9614.96-
Nov 17, 202214.9714.9714.9714.9714.97-
Nov 16, 202214.9614.9614.9614.9614.96-
Nov 15, 202214.9614.9614.9614.9614.96-
Nov 14, 202214.9414.9414.9414.9414.94-
Nov 11, 202214.9414.9414.9414.9414.94-
Nov 10, 202214.9214.9214.9214.9214.92-
Nov 09, 202214.9114.9114.9114.9114.91-
Nov 07, 202214.8914.8914.8914.8914.89-
Nov 04, 202214.8814.8814.8814.8814.88-
Nov 03, 202214.8814.8814.8814.8814.88-
Nov 02, 202214.8814.8814.8814.8814.88-
Nov 01, 202214.8814.8814.8814.8814.88-
Oct 31, 202214.8814.8814.8814.8814.88-
Oct 28, 202214.8714.8714.8714.8714.87-
Oct 27, 202214.8714.8714.8714.8714.87-
Oct 25, 202214.8614.8614.8614.8614.86-
Oct 24, 2022------
Oct 21, 202214.8314.8314.8314.8314.83-
Oct 20, 202214.8314.8314.8314.8314.83-
Oct 19, 202214.8414.8414.8414.8414.84-
Oct 18, 202214.8314.8314.8314.8314.83-
Oct 17, 202214.8314.8314.8314.8314.83-
Oct 14, 202214.8014.8014.8014.8014.80-
Oct 13, 202214.8014.8014.8014.8014.80-
Oct 12, 202214.8014.8014.8014.8014.80-
Oct 11, 202214.8014.8014.8014.8014.80-
Oct 10, 202214.8014.8014.8014.8014.80-
Oct 07, 202214.8214.8214.8214.8214.82-
Oct 06, 202214.8214.8214.8214.8214.82-
Oct 04, 202214.8314.8314.8314.8314.83-
Oct 03, 202214.8114.8114.8114.8114.81-
Sep 30, 202214.8114.8114.8114.8114.81-
Sep 29, 202214.8014.8014.8014.8014.80-
Sep 28, 202214.7814.7814.7814.7814.78-
Sep 27, 202214.7814.7814.7814.7814.78-
Sep 26, 202214.7814.7814.7814.7814.78-
Sep 23, 202214.7814.7814.7814.7814.78-
Sep 22, 202214.8014.8014.8014.8014.80-
Sep 21, 202214.8214.8214.8214.8214.82-
Sep 20, 202214.8114.8114.8114.8114.81-
Sep 19, 202215.0915.0915.0915.0915.09-
Sep 16, 202215.0915.0915.0915.0915.09-
Sep 15, 202215.1015.1015.1015.1015.10-
Sep 14, 202215.1115.1115.1115.1115.11-
Sep 13, 202215.1215.1215.1215.1215.12-
Sep 12, 202215.1115.1115.1115.1115.11-
Sep 09, 202215.1115.1115.1115.1115.11-
Sep 08, 202215.1115.1115.1115.1115.11-
Sep 07, 202215.1015.1015.1015.1015.10-
Sep 06, 202215.1015.1015.1015.1015.10-
Sep 05, 202215.1015.1015.1015.1015.10-
Sep 02, 202215.0915.0915.0915.0915.09-
Sep 01, 202215.0915.0915.0915.0915.09-
Aug 30, 202215.0815.0815.0815.0815.08-
Aug 29, 202215.0815.0815.0815.0815.08-
Aug 26, 202215.0815.0815.0815.0815.08-
Aug 25, 202215.0715.0715.0715.0715.07-
Aug 24, 202215.0715.0715.0715.0715.07-
Aug 23, 202215.0615.0615.0615.0615.06-
Aug 22, 202215.0615.0615.0615.0615.06-
Aug 19, 202215.0615.0615.0615.0615.06-
Aug 18, 202215.0615.0615.0615.0615.06-
Aug 17, 202215.0615.0615.0615.0615.06-
Aug 16, 2022------
Aug 12, 202215.0315.0315.0315.0315.03-
Aug 11, 202215.0215.0215.0215.0215.02-
Aug 10, 202215.0215.0215.0215.0215.02-
Aug 08, 202215.0015.0015.0015.0015.00-
Aug 05, 202214.9914.9914.9914.9914.99-
Aug 04, 202215.0115.0115.0115.0115.01-
Aug 03, 202215.0015.0015.0015.0015.00-
Aug 02, 202215.0015.0015.0015.0015.00-
Aug 01, 202214.9914.9914.9914.9914.99-
Jul 29, 202214.9714.9714.9714.9714.97-
Jul 28, 202214.9714.9714.9714.9714.97-
Jul 27, 202214.9614.9614.9614.9614.96-
Jul 26, 202214.9614.9614.9614.9614.96-
Jul 25, 202214.9614.9614.9614.9614.96-
Jul 22, 202214.9514.9514.9514.9514.95-
Jul 21, 202214.9514.9514.9514.9514.95-
Jul 20, 202214.9514.9514.9514.9514.95-
Jul 19, 202214.9514.9514.9514.9514.95-
Jul 18, 202214.9414.9414.9414.9414.94-
Jul 15, 202214.9314.9314.9314.9314.93-
Jul 14, 202214.9414.9414.9414.9414.94-
Jul 13, 202214.9414.9414.9414.9414.94-
Jul 12, 202214.9314.9314.9314.9314.93-
Jul 11, 202214.9214.9214.9214.9214.92-
Jul 08, 202214.9214.9214.9214.9214.92-
*Close price adjusted for splits.**Adjusted close price adjusted for splits and dividend and/or capital gain distributions.
Loading more data...
Advertisement
Advertisement