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<< Prices as on Mar 24, 2026 - 10:59AM >>
ABB
6054.95
[0.26]
ACC
1323.95
[-0.48]
AMBUJA CEM
396.65
[0.32]
ASIAN PAINTS
2157.2
[1.73]
AXIS BANK
1171.45
[0.07]
BAJAJ AUTO
8800
[0.25]
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266.55
[0.28]
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1782.15
[-0.79]
BHEL
253.8
[0.42]
BPCL
275.75
[1.57]
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5428.5
[-1.15]
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1220.45
[-0.18]
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439.95
[-3.39]
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1842.4
[-0.38]
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418
[0.16]
DLF
517.55
[0.57]
DRREDDYSLAB
1253.5
[0.08]
GAIL
135.1
[-0.18]
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2535.45
[0.14]
HCLTECHNOLOG
1373
[1.07]
HDFC BANK
753.75
[1.34]
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5137.1
[1.39]
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2076.85
[1.11]
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844.9
[0.67]
ICICI BANK
1227.1
[0.36]
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588.5
[1.03]
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772.5
[-0.71]
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1271.45
[1.06]
ITC LTD
289.1
[-0.45]
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1115.6
[0.87]
KOTAK BANK
363.5
[2.01]
L&T
3409
[2.01]
LUPIN
2290.9
[-0.27]
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2973.35
[0.57]
MARUTI SUZUK
12338
[-0.13]
MTNL
23.25
[0.09]
NESTLE
1169.65
[0.27]
NIIT
53.85
[-1.05]
NMDC
75.11
[0.05]
NTPC
371.2
[-0.36]
ONGC
270.35
[1.88]
PNB
106.15
[0.66]
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294.6
[-2.34]
RIL
1412.3
[0.36]
SBI
1030.9
[-0.08]
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647.25
[0.23]
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223.8
[2.05]
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1756.5
[0.01]
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602.6
[-0.97]
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1023.7
[0.03]
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306.05
[0.29]
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188.7
[0.77]
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385.65
[-0.34]
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2386.4
[0.15]
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1402.3
[1.36]
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10517.5
[1.52]
UNITED SPIRI
1296.4
[1.67]
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188.15
[0.35]
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69.45
[1.43]
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NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
SBI PSU Fund
Fund :
SBI Mutual Fund
Category :
Equity - Diversified
Type :
Open Ended
NAV(
23/03/2026
)
32.9177
Percentage Returns :
1 Month Ago :
-10.73%
3 Months Ago :
-1.43%
1 Year Ago :
11.41%
Choose Option :
Growth
IDCW
IDCW-Reinvestment
2026
2025
2024
2023
2022
2026
Open :
34.01
Close :
32.92
Return(%) :
-3.20
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
34.0060
34.9227
2.69
February
34.1534
37.1047
8.64
March
36.7207
32.9177
-10.35
January
34.0060
34.9227
2.69
February
34.1534
37.1047
8.64
March
36.7207
32.9177
-10.35
January
34.0060
34.9227
2.69
February
34.1534
37.1047
8.64
March
36.7207
32.9177
-10.35
January
34.0060
34.9227
2.69
February
34.1534
37.1047
8.64
March
36.7207
32.9177
-10.35
January
34.0060
34.9227
2.69
February
34.1534
37.1047
8.64
March
36.7207
32.9177
-10.35