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NAV HISTORY
GO
Bank of India ELSS Tax Saver Fund
Fund :
Bank of India Mutual Fund
Category :
Equity - ELSS
Type :
Open Ended
NAV(
18/09/2026
)
164.3700
Percentage Returns :
1 Month Ago :
-1.72%
3 Months Ago :
-0.82%
1 Year Ago :
1.19%
From Date
End Date
GO
Daily
Monthly
Yearly
NAV Date
Repurcahse (
₹
)
Sale (
₹
)
Amount (
₹
)
18/09/2026
164.37
164.37
164.37
17/09/2026
162.52
162.52
162.52
16/09/2026
161.42
161.42
161.42
15/09/2026
160.44
160.44
160.44
11/09/2026
163.70
163.70
163.70
10/09/2026
164.83
164.83
164.83
09/09/2026
164.68
164.68
164.68
08/09/2026
165.32
165.32
165.32
07/09/2026
165.36
165.36
165.36
04/09/2026
165.57
165.57
165.57
03/09/2026
165.24
165.24
165.24
02/09/2026
164.75
164.75
164.75
01/09/2026
165.80
165.80
165.80
31/08/2026
166.09
166.09
166.09
28/08/2026
166.78
166.78
166.78
27/08/2026
166.57
166.57
166.57
26/08/2026
166.58
166.58
166.58
25/08/2026
166.95
166.95
166.95
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