iNAV Summary as on 15 December, 2024

The intraday net asset value ( "iNAV" ) is one method of establishing that point of reference. iNAV provides an intraday indicative value of an ETF based on the market values of its underlying holdings.

Name of the ETF
iNAV
Time Stamp
% Day Change
Approximate Basket Value (₹)
Exchange Symbol
Units Per Basket
 

NOTE: The intraday net asset value ( "iNAV" ) is one method of establishing that point of reference. iNAV provides an intraday indicative value of an ETF based on the market values of its underlying holdings.

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