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NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
Mirae Asset Corporate Bond Fund
Fund :
Mirae Asset Mutual Fund
Category :
Debt - Income
Type :
Open Ended
NAV(
17/09/2025
)
12.9130
Percentage Returns :
1 Month Ago :
0.36%
3 Months Ago :
0.84%
1 Year Ago :
7.86%
Choose Option :
Growth
IDCW
IDCW-Reinvestment
2025
2024
2023
2022
2021
2025
Open :
12.22
Close :
12.91
Return(%) :
5.68
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
12.2185
12.2892
0.57
February
12.3038
12.3308
0.21
March
12.3310
12.4880
1.27
April
12.5444
12.6901
1.16
May
12.6966
12.8166
0.94
June
12.8235
12.8011
-0.17
July
12.8136
12.8768
0.49
August
12.8830
12.8618
-0.16
September
12.8617
12.9130
0.39
January
12.2185
12.2892
0.57
February
12.3038
12.3308
0.21
March
12.3310
12.4880
1.27
April
12.5444
12.6901
1.16
May
12.6966
12.8166
0.94
June
12.8235
12.8011
-0.17
July
12.8136
12.8768
0.49
August
12.8830
12.8618
-0.16
September
12.8617
12.9130
0.39
January
12.2185
12.2892
0.57
February
12.3038
12.3308
0.21
March
12.3310
12.4880
1.27
April
12.5444
12.6901
1.16
May
12.6966
12.8166
0.94
June
12.8235
12.8011
-0.17
July
12.8136
12.8768
0.49
August
12.8830
12.8618
-0.16
September
12.8617
12.9130
0.39
January
12.2185
12.2892
0.57
February
12.3038
12.3308
0.21
March
12.3310
12.4880
1.27
April
12.5444
12.6901
1.16
May
12.6966
12.8166
0.94
June
12.8235
12.8011
-0.17
July
12.8136
12.8768
0.49
August
12.8830
12.8618
-0.16
September
12.8617
12.9130
0.39
January
12.2185
12.2892
0.57
February
12.3038
12.3308
0.21
March
12.3310
12.4880
1.27
April
12.5444
12.6901
1.16
May
12.6966
12.8166
0.94
June
12.8235
12.8011
-0.17
July
12.8136
12.8768
0.49
August
12.8830
12.8618
-0.16
September
12.8617
12.9130
0.39